================================================================================

                                 UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549

                                    FORM 13F
                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: June 30, 2012

Check here if Amendment [  ]: Amendment Number _______________________

This Amendment (Check only one):   [  ] is a restatement
                                   [  ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:      The Toronto-Dominion Bank
Address:   Toronto Dominion Bank Tower
           Toronto-Dominion Centre
           P.O. Box 1
           Toronto, Ontario M5K 1A2, Canada

Form 13F File Number:  28-11527

This institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:   Norie Campbell
Title:  Executive Vice President
Phone:

Signature, Place, and Date of Signing:

/S/ Norie Campbell              Toronto, Ontario                 Aug 14, 2012
   [Signature]                   [City, State]                      [Date]

Report Type (Check only one):

[ ]   13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
      are reported in this report)

[ ]   13F NOTICE (Check here if no holdings reported are in this report, and all
      holdings are reported by other reporting manager(s).)

[X]   13F COMBINATION REPORT. (Check here if a portion of the holdings for this
      reporting manager are reported in this report and a portion is reported by
      other reporting manager(s).)

List of Other Managers Reporting for this Manager:

Form 13F File Number                Name
28-05929                            TD Asset Management USA Inc.
28-05987                            TD Asset Management Inc.
28-11451                            TD Securities (USA) LLC

================================================================================




                             FORM 13F SUMMARY PAGE

      Report summary:

      Number of Other Included Managers: 2

      Form 13F Information Table Entry Total: 1194

      Form 13F Information Table Value Total (x$1000): $22,675,491

LIST OF OTHER INCLUDED MANAGERS:

      Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

No.      Form 13F File Number      Name
1        28-11512                  TD Securities Inc.
2        28-11579                  TD Global Finance



Form 13F-HR

             Name of reporting Manager The Toronto - Dominion Bank



Item 1:                Item 2:  Item 3:   Item 4:   Item 5:        Item 6:                    Item 7:           Item 8:
                                                                               (b)
                        Title              Fair    Shares or      Investment Shared-   (c)   Managers     Voting Authority (Shares)
                          of    CUSIP     Market   Principal      Discretion    As   Shared-   See       (a)        (b)      (c)
Name of Issuer          Class   Number    Value     Amount         (a) Sole  Defined  other  Instr. V    Sole      Shared    None
---------------        ------- --------- --------- ---------  --- ---------- ------- ------- -------- ---------- ---------- -------
                                                                                        
3M COMPANY             COM     88579Y101     8,399     93,613 SH    SOLE                                  93,613
ABB LTD SPONSORED ADR  COM     000375204        20      1,250 SH    SOLE                                   1,250
ABBOTT LABORATORIES    COM     002824100         -      2,300 SH              SH_DEF              2                   2,300
ABBOTT LABORATORIES
INC                    COM     002824100     3,959     61,330 SH    SOLE                                  61,330
ACTUANT CORP CL A      COM     00508X203       284     10,430 SH    SOLE                                  10,430
ADVANTAGE OIL & GAS
LTD                    CALL    00765F101        10      3,500 CALL            SH_DEF              1                   3,500
ADVANTAGE OIL & GAS
LTD                    COM     00765F101         3      1,000 SH              SH_DEF              1                   1,000
ADVANTAGE OIL & GAS
LTD                    COM     00765F101        97     32,800 SH    SOLE                                  32,800
ADVANTAGE OIL & GAS
LTD                    COM     00765F101         3      1,106 SH    SOLE                                   1,106
ADVANTAGE OIL & GAS
LTD                    COM     00765F101         0         81 SH              SH_DEF              1                      81
AFLAC INC              COM     001055102       213      4,995 SH    SOLE                                   4,995
AGILENT TECHNOLOGIES
INC                    COM     00846U101         -          0 SH              SH_DEF              2                       0
AGILENT TECHNOLOGIES
INC                    COM     00846U101        16        400 SH    SOLE                                     400
AGNICO-EAGLE MINES     CALL    008474108     6,518    160,900 CALL            SH_DEF              1                 160,900
AGNICO-EAGLE MINES     COM     008474108     5,617    138,673 SH              SH_DEF              1                 138,673
AGNICO-EAGLE MINES     COM     008474108    73,332  1,810,366 SH    SOLE                               1,810,366
AGNICO-EAGLE MINES     COM     008474108        61      1,500 SH              SH_DEF              2                   1,500
AGNICO-EAGLE MINES     PUT     008474108     5,963    147,200 PUT             SH_DEF              1                 147,200
AGNICO-EAGLE MINES LTD COM     008474108     2,148     53,080 SH    SOLE                                  53,080
AGNICO-EAGLE MINES LTD COM     008474108       208      5,126 SH    SOLE                                   5,126
AGNICO-EAGLE MINES LTD COM     008474108       279      6,900 SH              SH_DEF              1                   6,900
AGNICO-EAGLE MINES LTD PUT     008474108       676     16,700 PUT   SOLE                                  16,700
AGRIUM INC             CALL    008916108    31,905    360,000 CALL            SH_DEF              1                 360,000
AGRIUM INC             COM     008916108     5,720     64,544 SH              SH_DEF              1                  64,544
AGRIUM INC             COM     008916108   155,032  1,749,284 SH    SOLE                               1,749,284
AGRIUM INC             COM     008916108       664      7,507 SH    SOLE                                   7,507
AGRIUM INC             COM     008916108     3,749     42,303 SH    SOLE                                  42,303
AGRIUM INC             COM     008916108       503      5,700 SH              SH_DEF              1                   5,700
AGRIUM INC             PUT     008916108    12,275    138,500 PUT             SH_DEF              1                 138,500
AGRIUM INC             PUT     008916108     2,459     27,800 PUT   SOLE                                  27,800
ALCATEL LUCENT ADR     COM     013904305         0         47 SH    SOLE                                      47
ALCOA INC              COM     013817101        44      5,000 SH              SH_DEF              2                   5,000
ALCOA INC              COM     013817101       176     20,115 SH    SOLE                                  20,115
ALEXCO RESOURCE CORP   CALL    01535P106         4      1,000 CALL            SH_DEF              1                   1,000
ALEXCO RESOURCE CORP   COM     01535P106         5      1,200 SH              SH_DEF              1                   1,200
ALLIED NEVADA GOLD
CORP                   CALL    019344100     2,108     74,300 CALL            SH_DEF              1                  74,300
ALLIED NEVADA GOLD
CORP                   COM     019344100       308     10,845 SH              SH_DEF              1                  10,845
ALLIED NEVADA GOLD
CORP                   COM     019344100        43      1,500 SH    SOLE                                   1,500
ALLIED NEVADA GOLD
CORP                   PUT     019344100     1,194     42,100 PUT             SH_DEF              1                  42,100
ALLSTATE CORPORATION   COM     020002101       239      6,800 SH    SOLE                                   6,800
ALTRIA GROUP INC       COM     02209S103       950     27,470 SH    SOLE                                  27,470
ALUMINA LIMITED SPON
ADR                    COM     022205108         2        500 SH    SOLE                                     500
AMAZON.COM INC         COM     023135106        46        200 SH    SOLE                                     200
AMERICAN CAPITAL
AGENCY CORP            COM     02503X105       269      8,000 SH    SOLE                                   8,000
AMERICAN EXPRESS
COMPANY                COM     025816109       434      7,440 SH    SOLE                                   7,440
AMERISOURCEBERGEN CORP COM     03073E105         6        160 SH    SOLE                                     160
AMETEK INC             COM     031100100       597     11,940 SH    SOLE                                  11,940
AMGEN INC              COM     031162100       492      6,730 SH    SOLE                                   6,730
AMTRUST FINANCIAL
SERVICES INC           COM     032359309       180      6,048 SH    SOLE                                   6,048
ANGLOGOLD
ASHANTI-SPON ADR       COM     035128206     1,287     37,479 SH              SH_DEF              1                  37,479
ANGLOGOLD
ASHANTI-SPON ADR       COM     035128206        22        650 SH    SOLE                                     650
ANHEUSER-BUSCH INBEV
SPN ADR                COM     03524A108     1,311     16,432 SH    SOLE                                  16,432
ANNALY CAPITAL
MANAGEMENT INC         COM     035710409       252     15,000 SH    SOLE                                  15,000
AOL INC                COM     00184X105         0         11 SH    SOLE                                      11
APACHE CORPORATION     COM     037411105       276      3,140 SH    SOLE                                   3,140
APPLE INC              CALL    037833100       701      1,200 CALL  SOLE                                   1,200
APPLE INC              COM     037833100       492        842 SH    SOLE                                     842
APPLE INC              COM     037833100 1,038,761  1,778,700 SH              SH_DEF              2               1,778,700
APPLE INC              COM     037833100     4,237      7,245 SH    SOLE                                   7,245
APPLE INC              PUT     037833100     1,694      2,900 PUT   SOLE                                   2,900
APPLIED MATERIALS INC  COM     038222105        13      1,170 SH    SOLE                                   1,170
ARCELORMITTAL NY
REGISTERED             COM     03938L104        34      2,200 SH    SOLE                                   2,200
ARCELORMITTAL-NY
REGISTERED             COM     03938L104        99      6,500 SH    SOLE                                   6,500
ARCH COAL INC          COM     039380100        21      3,000 SH    SOLE                                   3,000
ARCHER DANIELS
MIDLAND COMPANY        COM     039483102       437     14,800 SH    SOLE                                  14,800
ARENA PHARMACEUTICALS
INC                    COM     040047102       260     26,000 SH    SOLE                                  26,000
ASPEN INSURANCE
HOLDINGS LTD           COM     G05384105       505     17,455 SH    SOLE                                  17,455
ASSURANT INC           COM     04621X108        17        500 SH    SOLE                                     500
ASTRAZENECA PLC        COM     046353108    26,257    587,666 SH              SH_DEF              2                 587,666
ASTRAZENECA PLC
SPONSORED ADR          COM     046353108       957     21,350 SH    SOLE                                  21,350
AT&T INC               COM     00206R102       296      8,300 SH    SOLE                                   8,300
AT&T INC               COM     00206R102     6,023    168,678 SH    SOLE                                 168,678
ATLANTIC POWER CORP    CALL    04878Q863     2,151    168,200 CALL            SH_DEF              1                 168,200
ATLANTIC POWER CORP    COM     04878Q863     1,808    141,400 SH              SH_DEF              1                 141,400
ATLANTIC POWER CORP    COM     04878Q863    11,022    861,869 SH    SOLE                                 861,869
ATLANTIC POWER CORP    PUT     04878Q863       308     24,100 PUT             SH_DEF              1                  24,100
ATLANTIC POWER
CORPORATION NEW        COM     04878Q863       230     17,976 SH    SOLE                                  17,976
ATLATSA RESOURCES CORP COM     049477102         0        291 SH              SH_DEF              1                     291
ATRION CORPORATION     COM     049904105        14         67 SH    SOLE                                      67
AURICO GOLD INC        CALL    05155C105        92     11,500 CALL            SH_DEF              1                  11,500
AURICO GOLD INC        COM     05155C105        94     11,687 SH              SH_DEF              1                  11,687
AURICO GOLD INC        COM     05155C105       420     52,246 SH    SOLE                                  52,246
AURICO GOLD INC        PUT     05155C105       156     19,400 PUT             SH_DEF              1                  19,400
AURIZON MINES LTD      CALL    05155P106        38      8,400 CALL            SH_DEF              1                   8,400
AURIZON MINES LTD      COM     05155P106       135     29,800 SH    SOLE                                  29,800
AUTOMATIC DATA
PROCESSING INC         COM     053015103     1,441     25,850 SH    SOLE                                  25,850
AVALON RARE METALS INC CALL    053470100         6      4,000 CALL            SH_DEF              1                   4,000
AVIVA PLC              COM     05382A104     5,817  1,362,493 SH              SH_DEF              2               1,362,493
AVON PRODUCTS INC      COM     054303102        72      4,440 SH    SOLE                                   4,440
BAKER HUGHES INC       COM     057224107       156      3,780 SH    SOLE                                   3,780






                                                                                        
BANCO BILBAO VIZCAYA
ARGENTARIA S.A.        COM     05946K101        30      4,269 SH    SOLE                                   4,269
BANCO SANTANDER S.A.
ADR                    COM     05964H105         2        363 SH    SOLE                                     363
BANK OF AMERICA CORP   COM     060505104        50      6,100 SH    SOLE                                   6,100
BANK OF AMERICA
CORPORATION            COM     060505104     1,000    122,039 SH    SOLE                                 122,039
BANK OF MONTREAL       CALL    063671101    81,243  1,470,200 CALL            SH_DEF              1               1,470,200
BANK OF MONTREAL       CALL    063671101    17,258    312,300 CALL  SOLE                                 312,300
BANK OF MONTREAL       COM     063671101    12,037    217,829 SH              SH_DEF              1                 217,829
BANK OF MONTREAL       COM     063671101 1,402,391 25,378,139 SH    SOLE                              25,378,139
BANK OF MONTREAL       COM     063671101        55      1,000 SH              SH_DEF              2                   1,000
BANK OF MONTREAL       COM     063671101    52,337    947,106 SH    SOLE                                 947,106
BANK OF MONTREAL       COM     063671101         7        134 SH              SH_DEF              1                     134
BANK OF MONTREAL       COM     063671101        82      1,491 SH              SH_DEF              1                   1,491
BANK OF MONTREAL       COM     063671101     1,042     18,874 SH              SH_DEF              1                  18,874
BANK OF MONTREAL       PUT     063671101    36,505    660,600 PUT             SH_DEF              1                 660,600
BANK OF MONTREAL       PUT     063671101    16,644    301,200 PUT   SOLE                                 301,200
BANK OF MONTREAL       PUT     063671101     2,172     39,300 PUT   SOLE                                  39,300
BANK OF NEW YORK
MELLON CORP            COM     064058100     1,378     62,700 SH    SOLE                                  62,700
BANK OF NOVA SCOTIA    CALL    064149107   125,517  2,423,000 CALL            SH_DEF              1               2,423,000
BANK OF NOVA SCOTIA    CALL    064149107     9,226    178,100 CALL  SOLE                                 178,100
BANK OF NOVA SCOTIA    COM     064149107    26,460    510,780 SH              SH_DEF              1                 510,780
BANK OF NOVA SCOTIA    COM     064149107 2,426,541 46,842,272 SH    SOLE                              46,842,272
BANK OF NOVA SCOTIA    COM     064149107        98      1,900 SH              SH_DEF              2                   1,900
BANK OF NOVA SCOTIA    COM     064149107   103,144  1,991,107 SH    SOLE                               1,991,107
BANK OF NOVA SCOTIA    COM     064149107        62      1,200 SH              SH_DEF              1                   1,200
BANK OF NOVA SCOTIA    COM     064149107     1,617     31,255 SH              SH_DEF              1                  31,255
BANK OF NOVA SCOTIA    PUT     064149107    69,063  1,333,200 PUT             SH_DEF              1               1,333,200
BANK OF NOVA SCOTIA    PUT     064149107     2,916     56,300 PUT   SOLE                                  56,300
BANRO CORPORATION      COM     066800103       134     36,700 SH    SOLE                                  36,700
BANRO CORPORATION      COM     066800103         0         13 SH              SH_DEF              1                      13
BARCLAYS PLC           COM     06738E204    28,208 11,060,690 SH              SH_DEF              2              11,060,690
BARCLAYS PLC
SPONSORED ADR          COM     06738E204        15      1,500 SH    SOLE                                   1,500
BARRICK GOLD CORP      CALL    067901108    33,739    895,700 CALL            SH_DEF              1                 895,700
BARRICK GOLD CORP      CALL    067901108    11,635    309,700 CALL  SOLE                                 309,700
BARRICK GOLD CORP      COM     067901108    34,037    903,600 SH              SH_DEF              1                 903,600
BARRICK GOLD CORP      COM     067901108   419,992 11,149,763 SH    SOLE                              11,149,763
BARRICK GOLD CORP      COM     067901108     6,707    178,533 SH    SOLE                                 178,533
BARRICK GOLD CORP      COM     067901108       121      3,221 SH              SH_DEF              2                   3,221
BARRICK GOLD CORP      COM     067901108     5,723    151,921 SH    SOLE                                 151,921
BARRICK GOLD CORP      COM     067901108       188      5,000 SH              SH_DEF              1                   5,000
BARRICK GOLD CORP      COM     067901108       282      7,500 SH              SH_DEF              1                   7,500
BARRICK GOLD CORP      PUT     067901108    37,917  1,006,600 PUT             SH_DEF              1               1,006,600
BARRICK GOLD CORP      PUT     067901108        94      2,500 PUT             SH_DEF              1                   2,500
BARRICK GOLD CORP      PUT     067901108    12,804    340,800 PUT   SOLE                                 340,800
BAXTER INTERNATIONAL
INC                    COM     071813109       208      3,900 SH    SOLE                                   3,900
BAYTEX ENERGY CORP     CALL    07317Q105     7,402    175,700 CALL            SH_DEF              1                 175,700
BAYTEX ENERGY CORP     COM     07317Q105     1,580     37,500 SH    SOLE                                  37,500
BAYTEX ENERGY CORP     COM     07317Q105     4,134     98,119 SH    SOLE                                  98,119
BAYTEX ENERGY CORP     COM     07317Q105        46      1,100 SH              SH_DEF              1                   1,100
BAYTEX ENERGY CORP     COM     07317Q105         8        194 SH              SH_DEF              1                     194
BAYTEX ENERGY CORP     COM     07317Q105        42      1,000 SH              SH_DEF              1                   1,000
BAYTEX ENERGY CORP     PUT     07317Q105     2,220     52,700 PUT             SH_DEF              1                  52,700
BCE INC                CALL    05534B760    42,091  1,020,800 CALL            SH_DEF              1               1,020,800
BCE INC                COM     05534B760    14,399    349,207 SH              SH_DEF              1                 349,207
BCE INC                COM     05534B760   435,619 10,564,640 SH    SOLE                              10,564,640
BCE INC                COM     05534B760         3         63 SH              SH_DEF              2                      63
BCE INC                COM     05534B760       206      5,000 SH              SH_DEF              1                   5,000
BCE INC                PUT     05534B760    23,817    577,600 PUT             SH_DEF              1                 577,600
BCE INC NEW            COM     05534B760    38,734    939,382 SH    SOLE                                 939,382
BECTON, DICKINSON & CO COM     075887109     2,999     40,073 SH    SOLE                                  40,073
BERKSHIRE HATHAWAY
INC CL A               COM     084670108    15,667        125 SH    SOLE                                     125
BERKSHIRE HATHAWAY
INC CLASS B NEW        COM     084670702     1,708     20,470 SH    SOLE                                  20,470
BHP BILLITON LTD
SPONSORED ADR          COM     088606108     2,317     35,430 SH    SOLE                                  35,430
BHP BILLITON PLC       COM     05545E209    79,171  2,799,266 SH              SH_DEF              2               2,799,266
BIG LOTS INC           COM     089302103       159      3,900 SH    SOLE                                   3,900
BIOSANTE
PHARMACEUTICALS INC    COM     09065V302         0         21 SH    SOLE                                      21
BLACKROCK INC          COM     09247X101        30        175 SH    SOLE                                     175
BOEING COMPANY         COM     097023105       213      2,859 SH    SOLE                                   2,859
BORGWARNER INC         COM     099724106         7        100 SH    SOLE                                     100
BP PLC                 COM     055622104    57,783  8,744,518 SH              SH_DEF              2               8,744,518
BP PLC SPONSORED ADR   COM     055622104       266      6,554 SH    SOLE                                   6,554
BP PRUDHOE BAY
ROYALTY TRUST          COM     055630107       233      2,000 SH    SOLE                                   2,000
BRISTOL-MYERS SQUIBB
COMPANY                COM     110122108       490     13,620 SH    SOLE                                  13,620
BRITISH AMERICAN
TOBACCO-SPON ADR       COM     110448107       199      1,950 SH    SOLE                                   1,950
BROOKFIELD ASSET
MANAGE-CL A            CALL    112585104     2,712     81,900 CALL            SH_DEF              1                  81,900
BROOKFIELD ASSET
MANAGE-CL A            COM     112585104     9,440    285,111 SH              SH_DEF              1                 285,111
BROOKFIELD ASSET
MANAGE-CL A            COM     112585104   344,998 10,419,527 SH    SOLE                              10,419,527
BROOKFIELD ASSET
MANAGE-CL A            PUT     112585104       924     27,900 PUT             SH_DEF              1                  27,900
BROOKFIELD ASSET MGMT
INC CL A LVS           COM     112585104    11,545    348,680 SH    SOLE                                 348,680
BROOKFIELD ASSET
MGT-A LV               COM     112585104       572     17,300 SH              SH_DEF              1                  17,300
BROOKFIELD CDA OFFICE
PPTYS T/U              COM     112823109        77      2,860 SH    SOLE                                   2,860
BROOKFIELD INFRA
PARTNER LPU            COM     G16252101       593     17,636 SH    SOLE                                  17,636
BROOKFIELD OFFICE PPTY COM     112900105        10        600 SH              SH_DEF              1                     600
BROOKFIELD OFFICE
PROPERTIES             COM     112900105        92      5,282 SH    SOLE                                   5,282
BROOKFIELD OFFICE
PROPERTIES             PUT     112900105       209     12,000 PUT   SOLE                                  12,000
BROOKFIELD OFFICE
PROPERTIES INC         COM     112900105     1,353     77,281 SH    SOLE                                  77,281
BROOKFIELD PROPERTIES
CORP                   CALL    112900105       578     33,000 CALL            SH_DEF              1                  33,000
BROOKFIELD PROPERTIES
CORP                   COM     112900105        99      5,656 SH              SH_DEF              1                   5,656
BROOKFIELD PROPERTIES
CORP                   COM     112900105     6,273    358,376 SH    SOLE                                 358,376
BROOKFIELD PROPERTIES
CORP                   PUT     112900105       819     46,800 PUT             SH_DEF              1                  46,800
BROWN & BROWN INC      COM     115236101        11        400 SH    SOLE                                     400
BROWN-FORMAN CORP CL A COM     115637100        95      1,000 SH    SOLE                                   1,000
BT GROUP PLC           COM     05577E101    11,873  3,586,455 SH              SH_DEF              2               3,586,455
C.R. BARD INC          COM     067383109       108      1,000 SH    SOLE                                   1,000
CAE INC                CALL    124765108        56      5,800 CALL            SH_DEF              1                   5,800
CAE INC                COM     124765108        32      3,285 SH              SH_DEF              1                   3,285
CAE INC                COM     124765108       483     49,700 SH    SOLE                                  49,700
CAE INC                COM     124765108         1        100 SH              SH_DEF              2                     100
CAE INC                COM     124765108       397     40,872 SH    SOLE                                  40,872






                                                                                        
CAE INC                COM     124765108     1,645    170,000 SH              SH_DEF              1                 170,000
CAE INC                COM     124765108     1,935    200,000 SH              SH_DEF              1                 200,000
CAE INC                PUT     124765108       107     11,000 PUT             SH_DEF              1                  11,000
CAMECO CORP            CALL    13321L108     7,011    319,100 CALL            SH_DEF              1                 319,100
CAMECO CORP            CALL    13321L108        44      2,000 CALL  SOLE                                   2,000
CAMECO CORP            COM     13321L108     4,180    190,230 SH              SH_DEF              1                 190,230
CAMECO CORP            COM     13321L108    95,554  4,348,858 SH    SOLE                               4,348,858
CAMECO CORP            COM     13321L108     1,497     68,120 SH    SOLE                                  68,120
CAMECO CORP            COM     13321L108        31      1,400 SH              SH_DEF              1                   1,400
CAMECO CORP            COM     13321L108       423     19,300 SH              SH_DEF              1                  19,300
CAMECO CORP            PUT     13321L108     5,880    267,600 PUT             SH_DEF              1                 267,600
CAMPBELL SOUP CO       COM     134429109         3        100 SH    SOLE                                     100
CAN IMPERIAL BK OF
COMMERCE               CALL    136069101    42,571    604,900 CALL            SH_DEF              1                 604,900
CAN IMPERIAL BK OF
COMMERCE               CALL    136069101    10,162    144,400 CALL  SOLE                                 144,400
CAN IMPERIAL BK OF
COMMERCE               COM     136069101    42,402    602,502 SH              SH_DEF              1                 602,502
CAN IMPERIAL BK OF
COMMERCE               COM     136069101 1,111,698 15,796,505 SH    SOLE                              15,796,505
CAN IMPERIAL BK OF
COMMERCE               PUT     136069101    52,423    744,900 PUT             SH_DEF              1                 744,900
CAN IMPERIAL BK OF
COMMERCE               PUT     136069101    13,069    185,700 PUT   SOLE                                 185,700
CANADIAN IMPERIAL
BANK OF COMMERCE       COM     136069101    50,053    711,218 SH    SOLE                                 711,218
CANADIAN NATIONAL
RAILWAY                COM     136375102       288      3,400 SH              SH_DEF              1                   3,400
CANADIAN NATIONAL
RAILWAY                COM     136375102       321      3,800 SH              SH_DEF              1                   3,800
CANADIAN NATIONAL
RAILWAY CO             COM     136375102    29,089    343,967 SH    SOLE                                 343,967
CANADIAN NATL RAILWAY
CO                     CALL    136375102    20,965    247,900 CALL            SH_DEF              1                 247,900
CANADIAN NATL RAILWAY
CO                     COM     136375102    15,200    179,738 SH              SH_DEF              1                 179,738
CANADIAN NATL RAILWAY
CO                     COM     136375102   439,900  5,201,654 SH    SOLE                               5,201,654
CANADIAN NATL RAILWAY
CO                     COM     136375102       138      1,637 SH    SOLE                                   1,637
CANADIAN NATL RAILWAY
CO                     PUT     136375102    15,755    186,300 PUT             SH_DEF              1                 186,300
CANADIAN NATL RAILWAY
CO                     PUT     136375102     1,156     13,700 PUT   SOLE                                  13,700
CANADIAN NATURAL
RESOURCES              CALL    136385101    11,921    444,400 CALL            SH_DEF              1                 444,400
CANADIAN NATURAL
RESOURCES              CALL    136385101       142      5,300 CALL  SOLE                                   5,300
CANADIAN NATURAL
RESOURCES              COM     136385101    31,249  1,164,961 SH              SH_DEF              1               1,164,961
CANADIAN NATURAL
RESOURCES              COM     136385101   325,756 12,143,982 SH    SOLE                              12,143,982
CANADIAN NATURAL
RESOURCES              COM     136385101       354     13,199 SH    SOLE                                  13,199
CANADIAN NATURAL
RESOURCES              PUT     136385101    22,224    828,500 PUT             SH_DEF              1                 828,500
CANADIAN NATURAL
RESOURCES LTD          COM     136385101    11,695    435,996 SH    SOLE                                 435,996
CANADIAN PACIFIC RAIL  COM     13645T100         6         87 SH              SH_DEF              1                      87
CANADIAN PACIFIC
RAILWAY LTD            CALL    13645T100     9,086    123,800 CALL            SH_DEF              1                 123,800
CANADIAN PACIFIC
RAILWAY LTD            COM     13645T100     4,146     56,485 SH              SH_DEF              1                  56,485
CANADIAN PACIFIC
RAILWAY LTD            COM     13645T100   152,288  2,074,999 SH    SOLE                               2,074,999
CANADIAN PACIFIC
RAILWAY LTD            COM     13645T100    13,263    180,710 SH    SOLE                                 180,710
CANADIAN PACIFIC
RAILWAY LTD            PUT     13645T100     6,752     92,000 PUT             SH_DEF              1                  92,000
CANADIAN PACIFIC
RAILWAY LTD            PUT     13645T100        66        900 PUT   SOLE                                     900
CANON INC ADR          COM     138006309       360      9,000 SH    SOLE                                   9,000
CARDIOME PHARMA CORP   COM     14159U202         0        175 SH              SH_DEF              1                     175
CARNIVAL PLC           COM     14365C103     2,898     84,819 SH              SH_DEF              2                  84,819
CATERPILLAR INC        COM     149123101         -          0 SH    SOLE                                       0
CATERPILLAR INC        COM     149123101     1,456     17,125 SH    SOLE                                  17,125
CDN IMPERIAL BK
COMMERCE               COM     136069101       100      1,427 SH              SH_DEF              1                   1,427
CDN IMPERIAL BK
COMMERCE               COM     136069101     1,493     21,242 SH              SH_DEF              1                  21,242
CDN NATURAL RESOURCES
LTD                    COM     136385101       233      8,700 SH              SH_DEF              1                   8,700
CDN NATURAL RESOURCES
LTD                    COM     136385101         1         44 SH              SH_DEF              1                      44
CDN NATURAL RESOURCES
LTD                    COM     136385101        67      2,500 SH              SH_DEF              1                   2,500
CDN NATURAL RESOURCES
LTD                    COM     136385101       667     24,900 SH              SH_DEF              1                  24,900
CELESTICA INC          CALL    15101Q108       313     43,000 CALL            SH_DEF              1                  43,000
CELESTICA INC          COM     15101Q108        92     12,600 SH              SH_DEF              1                  12,600
CELESTICA INC          COM     15101Q108       260     35,800 SH    SOLE                                  35,800
CELESTICA INC          PUT     15101Q108       491     67,600 PUT             SH_DEF              1                  67,600
CELESTICA INC SV       COM     15101Q108       313     43,000 SH    SOLE                                  43,000
CEMEX S.A.B. DE C.V.   COM     151290889        25      3,744 SH    SOLE                                   3,744
CENOVUS ENERGY INC     CALL    15135U109    23,439    737,200 CALL            SH_DEF              1                 737,200
CENOVUS ENERGY INC     COM     15135U109    13,037    410,051 SH              SH_DEF              1                 410,051
CENOVUS ENERGY INC     COM     15135U109   262,819  8,266,176 SH    SOLE                               8,266,176
CENOVUS ENERGY INC     COM     15135U109        47      1,474 SH              SH_DEF              2                   1,474
CENOVUS ENERGY INC     COM     15135U109    32,393  1,018,837 SH    SOLE                               1,018,837
CENOVUS ENERGY INC     COM     15135U109       245      7,700 SH              SH_DEF              1                   7,700
CENOVUS ENERGY INC     PUT     15135U109     9,211    289,700 PUT             SH_DEF              1                 289,700
CENTRAL EUROPE &
RUSSIA FUND            COM     153436100        31      1,012 SH    SOLE                                   1,012
CENTRAL FUND CDA
LTD-A NV               COM     153501101        73      3,700 SH              SH_DEF              1                   3,700
CENTRAL FUND OF CDA
LTD CL A NVS           COM     153501101        20      1,000 SH    SOLE                                   1,000
CGI GROUP INC - CL A   CALL    39945C109     1,675     69,700 CALL            SH_DEF              1                  69,700
CGI GROUP INC - CL A   COM     39945C109     1,036     43,100 SH    SOLE                                  43,100
CGI GROUP INC - CL A   PUT     39945C109       315     13,100 PUT             SH_DEF              1                  13,100
CGI GROUP INC CL A SVS COM     39945C109       376     15,624 SH    SOLE                                  15,624
CGI GROUP INC-A SV     COM     39945C109         4        170 SH              SH_DEF              1                     170
CHELSEA THERAPEUTICS
INTERNA                CALL    163428105         3      1,400 CALL            SH_DEF              1                   1,400
CHESAPEAKE ENERGY CORP COM     165167107        61      3,300 SH    SOLE                                   3,300
CHEVRON CORP           COM     166764100        21        200 SH    SOLE                                     200
CHEVRON CORP           COM     166764100        53        500 SH              SH_DEF              2                     500
CHEVRON CORPORATION    COM     166764100    12,392    117,304 SH    SOLE                                 117,304
Chicago Board Options
Exchange               COM     12503M108    13,282    480,000 SH    SOLE                                 480,000
Chicago Board Options
Exchange               COM     12503M108         7    240,000 SH    SOLE                                 240,000
CHINA MOBILE LIMITED
ADR                    COM     16941M109       865     15,805 SH    SOLE                                  15,805
CHINACAST EDUCATION
CORP                   COM     16946T109        19     24,100 SH    SOLE                                  24,100
CIA DE MINAS
BUENAVENTUR-ADR        COM     204448104       811     21,353 SH              SH_DEF              1                  21,353
CIA DE MINAS
BUENAVENTUR-ADR        COM     204448104        19        500 SH    SOLE                                     500
CIA PARANAENSE DE
ENERGIA SP ADR         COM     20441B407       277     12,750 SH    SOLE                                  12,750
CIA SANEAMENTO BASICO
ADR                    COM     20441A102       144      1,900 SH    SOLE                                   1,900
CIBT EDUCATION GROUP
INC                    COM     17163Y102         0         86 SH              SH_DEF              1                      86
CIGNA CORP             COM     125509109        48      1,100 SH    SOLE                                   1,100
CISCO SYSTEMS INC      COM     17275R102        88      5,100 SH    SOLE                                   5,100
CISCO SYSTEMS INC      COM     17275R102     4,763    277,024 SH    SOLE                                 277,024
CISCO SYSTEMS INC      PUT     17275R102       532     31,000 PUT   SOLE                                  31,000
CITIGROUP INC NEW      COM     172967424     1,511     55,041 SH    SOLE                                  55,041
CITRIX SYSTEMS INC     COM     177376100       377      4,487 SH    SOLE                                   4,487
CLAUDE RESOURCES INC   COM     182873109         5      8,000 SH              SH_DEF              1                   8,000
CLAUDE RESOURCES INC   COM     182873109         0        380 SH              SH_DEF              1                     380
CME GROUP INC          COM     12572Q105       299      1,115 SH    SOLE                                   1,115
CNOOC LIMITED ADR      COM     126132109       933      4,629 SH    SOLE                                   4,629






                                                                                        
CNOOC LTD-ADR          COM     126132109        60        300 SH    SOLE                                     300
COACH INC              COM     189754104        83      1,415 SH    SOLE                                   1,415
COCA-COLA CO/THE       COM     191216100        63        800 SH    SOLE                                     800
COCA-COLA COMPANY      COM     191216100     3,429     43,801 SH    SOLE                                  43,801
COCA-COLA ENTERPRISES
INC                    COM     19122T109         8        300 SH    SOLE                                     300
COEUR D'ALENE
MINES-NEW              COM     192108504         3        151 SH              SH_DEF              1                     151
COLGATE-PALMOLIVE
COMPANY                COM     194162103     4,006     38,430 SH    SOLE                                  38,430
COMCAST CORP CL A      COM     20030N101     3,528    110,210 SH    SOLE                                 110,210
COMCAST CORP CL A SPL  COM     20030N200     2,210     70,283 SH    SOLE                                  70,283
CONAGRA FOODS INC      COM     205887102       130      5,000 SH    SOLE                                   5,000
CONOCOPHILLIPS         COM     20825C104     2,737     48,916 SH    SOLE                                  48,916
COPART INC             COM     217204106       500     21,065 SH    SOLE                                  21,065
CORNING INC            COM     219350105        49      3,800 SH    SOLE                                   3,800
COSTCO WHOLESALE CORP  COM     22160K105       193      2,025 SH    SOLE                                   2,025
COTT CORPORATION       COM     22163N106     1,278    156,430 SH    SOLE                                 156,430
COTT CORPORATION       COM     22163N106         -    659,924 SH              SH_DEF              2                 659,924
COTT CORPORATION       PUT     22163N106         8      1,000 PUT             SH_DEF              1                   1,000
CSX CORPORATION        COM     126408103       895     39,979 SH    SOLE                                  39,979
CUMMINS INC            COM     231021106       947      9,763 SH    SOLE                                   9,763
CURTISS-WRIGHT
CORPORATION            COM     231561101        65      2,100 SH    SOLE                                   2,100
CVS CAREMARK
CORPORATION            COM     126650100     5,231    111,790 SH    SOLE                                 111,790
CYS INVESTMENTS INC    COM     12673A108     2,253    163,600 SH    SOLE                                 163,600
DANAHER CORP           COM     235851102        66      1,275 SH    SOLE                                   1,275
DARLING INTERNATIONAL
INC                    COM     237266101        50      3,000 SH    SOLE                                   3,000
DEERE & COMPANY        COM     244199105       781      9,640 SH    SOLE                                   9,640
DELUXE CORP            COM     248019101         1         28 SH    SOLE                                      28
DENBURY RESOURCES INC  COM     247916208       178     11,784 SH    SOLE                                  11,784
DENISON MINES CORP     COM     248356107        84     62,600 SH    SOLE                                  62,600
DENISON MINES CORP     COM     248356107        43     32,000 SH    SOLE                                  32,000
DENISON MINES CORP     COM     248356107         0        100 SH              SH_DEF              1                     100
DENTSPLY
INTERNATIONAL INC      COM     249030107       372      9,830 SH    SOLE                                   9,830
DESCARTES SYSTEMS
GROUP                  COM     249906108         0         50 SH              SH_DEF              1                      50
DESCARTES SYSTEMS
GROUP INC              COM     249906108       682     81,335 SH    SOLE                                  81,335
DEVON ENERGY
CORPORATION            COM     25179M103       335      5,770 SH    SOLE                                   5,770
DIAGEO PLC SPONSORED
ADR                    COM     25243Q205     2,562     24,825 SH    SOLE                                  24,825
DIAMOND OFFSHORE
DRILLING               COM     25271C102       233      3,935 SH    SOLE                                   3,935
DIRECTV CLASS A        COM     25490A101       244      5,000 SH    SOLE                                   5,000
DISNEY,WALT COMPANY    COM     254687106     2,937     60,470 SH    SOLE                                  60,470
DOLLAR TREE INC        COM     256746108       327      6,062 SH    SOLE                                   6,062
DOMINION RESOURCES INC COM     25746U109        43        800 SH    SOLE                                     800
DOMTAR CORPORATION     COM     257559203       165      2,150 SH    SOLE                                   2,150
DONALDSON COMPANY INC  COM     257651109       388     11,610 SH    SOLE                                  11,610
DONNELLEY (R.R.) &
SONS CO                COM     257867101        15      1,283 SH    SOLE                                   1,283
DOVER CORPORATION      COM     260003108       419      7,810 SH    SOLE                                   7,810
DOW CHEMICAL COMPANY   COM     260543103        27        850 SH    SOLE                                     850
DRAGONWAVE INC         CALL    26144M103         1        400 CALL            SH_DEF              1                     400
DRAGONWAVE INC         COM     26144M103         0         25 SH              SH_DEF              1                      25
DU PONT (E.I.) DE
NEMOURS                COM     263534109        10        200 SH    SOLE                                     200
DUKE ENERGY CORP       COM     26441C105         -          1 SH              SH_DEF              2                       1
DUKE ENERGY HOLDING
CORP                   COM     26441C105       214      9,283 SH    SOLE                                   9,283
DUPONT E.I. DE
NEMOURS & CO           COM     263534109       929     18,352 SH    SOLE                                  18,352
EAGLE MATERIALS INC    CALL    26969P108        78      2,100 CALL  SOLE                                   2,100
EASTMAN CHEMICAL
COMPANY                COM     277432100       649     12,870 SH    SOLE                                  12,870
EATON CORPORATION      COM     278058102     1,177     29,650 SH    SOLE                                  29,650
EBAY INC               COM     278642103        17        400 SH    SOLE                                     400
ECOLAB INC             COM     278865100        69      1,000 SH    SOLE                                   1,000
ELDORADO GOLD CORP     CALL    284902103     1,320    107,200 CALL            SH_DEF              1                 107,200
ELDORADO GOLD CORP     COM     284902103     9,983    810,643 SH              SH_DEF              1                 810,643
ELDORADO GOLD CORP     COM     284902103    90,735  7,366,625 SH    SOLE                               7,366,625
ELDORADO GOLD CORP     COM     284902103       132     10,735 SH    SOLE                                  10,735
ELDORADO GOLD CORP     COM     284902103        10        800 SH              SH_DEF              2                     800
ELDORADO GOLD CORP     COM     284902103       245     19,857 SH    SOLE                                  19,857
ELDORADO GOLD CORP     PUT     284902103     1,885    153,000 PUT             SH_DEF              1                 153,000
ELDORADO GOLD CRP      COM     284902103     1,125     91,700 SH              SH_DEF              1                  91,700
EMC CORPORATION(MASS)  COM     268648102        48      1,875 SH    SOLE                                   1,875
EMERSON ELECTRIC CO    COM     291011104     6,142    131,689 SH    SOLE                                 131,689
ENBRIDGE INC           CALL    29250N105    38,188    956,200 CALL            SH_DEF              1                 956,200
ENBRIDGE INC           CALL    29250N105       124      3,100 CALL  SOLE                                   3,100
ENBRIDGE INC           COM     29250N105    12,219    305,945 SH              SH_DEF              1                 305,945
ENBRIDGE INC           COM     29250N105   600,531 15,036,900 SH    SOLE                              15,036,900
ENBRIDGE INC           COM     29250N105    83,428  2,088,986 SH    SOLE                               2,088,986
ENBRIDGE INC           COM     29250N105       204      5,100 SH              SH_DEF              1                   5,100
ENBRIDGE INC           COM     29250N105        86      2,148 SH              SH_DEF              1                   2,148
ENBRIDGE INC           COM     29250N105       232      5,800 SH              SH_DEF              1                   5,800
ENBRIDGE INC           PUT     29250N105     7,951    199,100 PUT             SH_DEF              1                 199,100
ENBRIDGE INC           PUT     29250N105     1,258     31,500 PUT   SOLE                                  31,500
ENCANA CORP            CALL    292505104    15,240    731,900 CALL            SH_DEF              1                 731,900
ENCANA CORP            CALL    292505104     4,104    197,000 CALL  SOLE                                 197,000
ENCANA CORP            COM     292505104     5,421    260,359 SH              SH_DEF              1                 260,359
ENCANA CORP            COM     292505104   169,758  8,152,372 SH    SOLE                               8,152,372
ENCANA CORP            COM     292505104       665     31,949 SH    SOLE                                  31,949
ENCANA CORP            COM     292505104        50      2,404 SH              SH_DEF              2                   2,404
ENCANA CORP            COM     292505104       175      8,400 SH              SH_DEF              1                   8,400
ENCANA CORP            COM     292505104         2        107 SH              SH_DEF              1                     107
ENCANA CORP            PUT     292505104    20,475    983,300 PUT             SH_DEF              1                 983,300
ENCANA CORPORATION     COM     292505104    15,877    762,480 SH    SOLE                                 762,480
ENDEAVOUR SILVER CORP  CALL    29258Y103        46      5,700 CALL            SH_DEF              1                   5,700
ENDEAVOUR SILVER CORP  COM     29258Y103        20      2,500 SH              SH_DEF              1                   2,500
ENDEAVOUR SILVER CORP  COM     29258Y103       130     16,100 SH    SOLE                                  16,100
ENDEAVOUR SILVER CORP  COM     29258Y103       259     32,000 SH    SOLE                                  32,000
ENERGY TRANSFER
PARTNERS LPU           COM     29273R109        88      2,000 SH    SOLE                                   2,000
ENERGY XXI BERMUDA     COM     G10082140        94      3,000 SH    SOLE                                   3,000
ENERPLUS CORP          CALL    292766102       527     41,000 CALL            SH_DEF              1                  41,000
ENERPLUS CORP          COM     292766102     4,891    380,689 SH              SH_DEF              1                 380,689
ENERPLUS CORP          COM     292766102    25,775  2,006,228 SH    SOLE                               2,006,228
ENERPLUS CORP          COM     292766102       450     35,007 SH    SOLE                                  35,007
ENERPLUS CORP          COM     292766102       101      7,900 SH              SH_DEF              1                   7,900
ENERPLUS CORP          PUT     292766102       286     22,300 PUT             SH_DEF              1                  22,300






                                                                                        
EOG RESOURCES INC      COM     26875P101       135      1,500 SH    SOLE                                   1,500
EQUAL ENERGY LTD       COM     29390Q109         0         55 SH              SH_DEF              1                      55
ERICSSON ADR           COM     294821608       803     87,868 SH    SOLE                                  87,868
EXELON CORPORATION     COM     30161N101         8        200 SH    SOLE                                     200
EXPRESS SCRIPTS
HOLDING COMPANY        COM     30219G108        76      1,362 SH    SOLE                                   1,362
EXTORRE GOLD MINES LTD COM     30227B109        20      4,947 SH              SH_DEF              1                   4,947
EXTORRE GOLD MINES LTD COM     30227B109       103     25,000 SH    SOLE                                  25,000
EXTORRE GOLD MINES LTD COM     30227B109         1        133 SH              SH_DEF              1                     133
EXTORRE GOLD MINES LTD COM     30227B109     5,534  1,344,600 SH              SH_DEF              1               1,344,600
EXXON MOBIL CORP       COM     30231G102       231      2,700 SH    SOLE                                   2,700
EXXON MOBIL CORP       COM     30231G102         9        100 SH              SH_DEF              2                     100
EXXON MOBIL
CORPORATION            COM     30231G102    17,614    205,571 SH    SOLE                                 205,571
F5 NETWORKS INC        COM     315616102         1          6 SH              SH_DEF              1                       6
FACEBOOK INC-A         CALL    30303M102       504     16,200 CALL  SOLE                                  16,200
FEDEX CORPORATION      COM     31428X106       241      2,625 SH    SOLE                                   2,625
FIRST MAJESTIC SILVER
CORP                   CALL    32076V103       334     23,100 CALL            SH_DEF              1                  23,100
FIRST MAJESTIC SILVER
CORP                   COM     32076V103       282     19,500 SH    SOLE                                  19,500
FIRST MAJESTIC SILVER
CORP                   COM     32076V103       144     10,000 SH    SOLE                                  10,000
FIRST MAJESTIC SILVER
CORP                   PUT     32076V103        55      3,800 PUT             SH_DEF              1                   3,800
FIRST SOLAR INC        COM     336433107        85      5,660 SH    SOLE                                   5,660
FIRSTSERVICE CORP      COM     33761N109     1,007     36,000 SH    SOLE                                  36,000
FIRSTSERVICE CORP      COM     33761N109    11,473    410,138 SH              SH_DEF              2                 410,138
FIRSTSERVICE CORP SVS  COM     33761N109       351     12,565 SH    SOLE                                  12,565
FISERV INC             COM     337738108     1,080     14,935 SH    SOLE                                  14,935
FLOWSERVE CORPORATION  COM     34354P105       154      1,340 SH    SOLE                                   1,340
FOOT LOCKER INC        COM     344849104         0         15 SH    SOLE                                      15
FORBES ENERGY
SERVICES LTD           COM     345143101        18      3,937 SH    SOLE                                   3,937
FORD MOTOR COMPANY     COM     345370860       116     12,065 SH    SOLE                                  12,065
FORTUNA SILVER MINES
INC                    COM     349915108        78     22,900 SH    SOLE                                  22,900
FORTUNA SILVER MINES
INC                    COM     349915108         5      1,400 SH              SH_DEF              1                   1,400
FRANCE TELECOM SA
SPON ADR               COM     35177Q105        26      2,000 SH    SOLE                                   2,000
FRANCO-NEVADA CORP     CALL    351858105    28,851    638,000 CALL            SH_DEF              1                 638,000
FRANCO-NEVADA CORP     COM     351858105       452      9,991 SH              SH_DEF              1                   9,991
FRANCO-NEVADA CORP     COM     351858105     1,366     30,200 SH    SOLE                                  30,200
FRANCO-NEVADA CORP     COM     351858105     1,979     43,765 SH    SOLE                                  43,765
FRANCO-NEVADA CORP     COM     351858105         2         44 SH              SH_DEF              1                      44
FRANCO-NEVADA CORP     COM     351858105       203      4,500 SH              SH_DEF              1                   4,500
FRANCO-NEVADA CORP     PUT     351858105     7,122    157,500 PUT             SH_DEF              1                 157,500
FRANKLIN RESOURCES INC COM     354613101       149      1,340 SH    SOLE                                   1,340
FREEPORT MCMORAN
COPPER & GOLD INC      COM     35671D857     2,647     77,589 SH    SOLE                                  77,589
FREEPORT-MCMORAN
COPPER                 COM     35671D857       266      7,800 SH    SOLE                                   7,800
FREEPORT-MCMORAN
COPPER                 COM     35671D857        34      1,000 SH              SH_DEF              2                   1,000
FRESENIUS MEDICAL
CARE AG & CO KGAA      COM     358029106     1,371     19,396 SH    SOLE                                  19,396
FRESH DEL MONTE
PRODUCE INC            COM     G36738105       565     24,025 SH    SOLE                                  24,025
FRONTIER
COMMUNICATIONS CORP    COM     35906A108         2        434 SH    SOLE                                     434
FRSTSVC CV U$ 6.5%
31DC14                 Bond    33761NAA7     2,249  1,922,000 PRN             SH_DEF              1               1,922,000
GAMESTOP CORPORATION
CL A NEW               COM     36467W109         1         54 SH    SOLE                                      54
GAP INC                COM     364760108         3        120 SH    SOLE                                     120
GENERAL CABLE CORP     COM     369300108       128      4,925 SH    SOLE                                   4,925
GENERAL DYNAMICS
CORPORATION            COM     369550108        26        400 SH    SOLE                                     400
GENERAL ELECTRIC CO    COM     369604103        50      2,400 SH    SOLE                                   2,400
GENERAL ELECTRIC CO    COM     369604103        56      2,700 SH              SH_DEF              2                   2,700
GENERAL ELECTRIC
COMPANY                COM     369604103    14,769    707,728 SH    SOLE                                 707,728
GENERAL MILLS INC      COM     370334104         8        218 SH    SOLE                                     218
GENESCO INC            COM     371532102        34        571 SH    SOLE                                     571
GERON CORP             COM     374163103        63     36,500 SH    SOLE                                  36,500
GILDAN ACTIVEWEAR INC  CALL    375916103     1,904     69,100 CALL            SH_DEF              1                  69,100
GILDAN ACTIVEWEAR INC  COM     375916103     5,708    207,166 SH              SH_DEF              1                 207,166
GILDAN ACTIVEWEAR INC  COM     375916103    31,794  1,154,000 SH    SOLE                               1,154,000
GILDAN ACTIVEWEAR INC  COM     375916103       279     10,148 SH    SOLE                                  10,148
GILDAN ACTIVEWEAR INC  COM     375916103        47      1,700 SH              SH_DEF              1                   1,700
GILDAN ACTIVEWEAR INC  PUT     375916103     1,022     37,100 PUT             SH_DEF              1                  37,100
GILDAN ACTIVEWEAR INC  PUT     375916103     9,748    354,200 PUT   SOLE                                 354,200
GILDAN ACTIVEWEAR INC
CL A SVS               COM     375916103       567     20,586 SH    SOLE                                  20,586
GILEAD SCIENCES INC    COM     375558103        25        495 SH    SOLE                                     495
GLAXOSMITHKLINE PLC    COM     37733W105    52,846  2,332,065 SH              SH_DEF              2               2,332,065
GLAXOSMITHKLINE PLC
ADR                    COM     37733W105       475     10,415 SH    SOLE                                  10,415
GLOBAL CASH ACCESS
HOLDINGS INC           COM     378967103        36      5,000 SH    SOLE                                   5,000
GOLD FIELDS LTD-SPONS
ADR                    COM     38059T106       906     70,690 SH              SH_DEF              1                  70,690
GOLD FIELDS LTD-SPONS
ADR                    COM     38059T106        14      1,110 SH    SOLE                                   1,110
GOLDCORP INC           CALL    380956409    51,097  1,357,200 CALL            SH_DEF              1               1,357,200
GOLDCORP INC           CALL    380956409     4,314    114,800 CALL  SOLE                                 114,800
GOLDCORP INC           COM     380956409    24,842    659,835 SH              SH_DEF              1                 659,835
GOLDCORP INC           COM     380956409   337,166  8,955,620 SH    SOLE                               8,955,620
GOLDCORP INC           COM     380956409     2,868     76,310 SH    SOLE                                  76,310
GOLDCORP INC           COM     380956409        38      1,000 SH              SH_DEF              2                   1,000
GOLDCORP INC           COM     380956409    13,019    345,806 SH    SOLE                                 345,806
GOLDCORP INC           COM     380956409       976     26,000 SH              SH_DEF              1                  26,000
GOLDCORP INC           PUT     380956409    29,404    781,000 PUT             SH_DEF              1                 781,000
GOLDCORP INC           PUT     380956409     2,758     73,400 PUT   SOLE                                  73,400
GOLDEN STAR RESOURCES
LTD                    COM     38119T104         3      2,401 SH              SH_DEF              1                   2,401
GOLDMAN SACHS GROUP
INC                    COM     38141G104       459      4,778 SH    SOLE                                   4,778
GOODYEAR TIRE &
RUBBER CO              COM     382550101       436     36,900 SH    SOLE                                  36,900
GOOGLE INC CLASS A     COM     38259P508     2,359      4,062 SH    SOLE                                   4,062
GOOGLE INC-CL A        COM     38259P508   982,833  1,694,336 SH              SH_DEF              2               1,694,336
GRACO INC              COM     384109104       564     12,230 SH    SOLE                                  12,230
GRAN TIERRA ENERGY INC CALL    38500T101        24      5,000 CALL            SH_DEF              1                   5,000
GRAN TIERRA ENERGY INC COM     38500T101        80     16,300 SH    SOLE                                  16,300
GREAT BASIN GOLD LTD   COM     390124105         4      6,268 SH              SH_DEF              1                   6,268
GREAT BASIN GOLD LTD   COM     390124105         0         38 SH              SH_DEF              1                      38
GREAT PANTHER SILVER
LIMITED                COM     39115V101        70     41,000 SH    SOLE                                  41,000
HALLIBURTON CO.        COM     406216101     1,479     52,035 SH    SOLE                                  52,035
HARMONY GOLD MNG-SPON
ADR                    CALL    413216300       235     25,000 CALL  SOLE                                  25,000
HARMONY GOLD MNG-SPON
ADR                    COM     413216300       337     35,898 SH              SH_DEF              1                  35,898
HARMONY GOLD MNG-SPON
ADR                    COM     413216300         5        480 SH    SOLE                                     480
HARRY WINSTON DIAMOND
CORP                   CALL    41587B100       323     28,500 CALL            SH_DEF              1                  28,500
HARRY WINSTON DIAMOND
CORP                   COM     41587B100        47      4,100 SH              SH_DEF              1                   4,100
HARRY WINSTON DIAMOND
CORP                   COM     41587B100       178     15,700 SH    SOLE                                  15,700






                                                                                        
HARRY WINSTON DIAMOND
CORP                   COM     41587B100        45      4,000 SH    SOLE                                   4,000
HARRY WINSTON DIAMOND
CORP                   PUT     41587B100       195     17,200 PUT             SH_DEF              1                  17,200
HARTFORD FINANCIAL
SVCS GROUP INC         COM     416515104       113      6,389 SH    SOLE                                   6,389
HARTFORD FINANCIAL
SVCS GRP               COM     416515104        53      3,000 SH    SOLE                                   3,000
HECKMANN CORPORATION   COM     422680108       118     35,000 SH    SOLE                                  35,000
HEINZ (H.J.) COMPANY   COM     423074103        90      1,645 SH    SOLE                                   1,645
HESS CORPORATION       COM     42809H107       465     10,680 SH    SOLE                                  10,680
HEWLETT-PACKARD
COMPANY                COM     428236103       651     32,312 SH    SOLE                                  32,312
HOLLYFRONTIER
CORPORATION            COM     436106108        68      1,924 SH    SOLE                                   1,924
HOME DEPOT INC         COM     437076102        32        600 SH    SOLE                                     600
HOME DEPOT INC         COM     437076102     1,094     20,610 SH    SOLE                                  20,610
HOME DEPOT INC         PUT     437076102       530     10,000 PUT   SOLE                                  10,000
HONDA MOTOR CO LTD
SPONSORED ADR          COM     438128308       389     11,200 SH    SOLE                                  11,200
HONEYWELL
INTERNATIONAL INC      COM     438516106       286      5,115 SH    SOLE                                   5,115
HOSPIRA INC            COM     441060100        14        392 SH    SOLE                                     392
HSBC HOLDINGS PLC
6.2% SER A PFD         COM     404280604        34      1,350 SH    SOLE                                   1,350
HSBC HOLDINGS PLC
SPONS ADR              COM     404280406     1,209     27,361 SH    SOLE                                  27,361
HUDBAY MINERALS INC    CALL    443628102       813    105,500 CALL            SH_DEF              1                 105,500
HUDBAY MINERALS INC    COM     443628102       246     31,900 SH    SOLE                                  31,900
HUDBAY MINERALS INC    COM     443628102       309     40,100 SH    SOLE                                  40,100
HUDBAY MINERALS INC    PUT     443628102       169     21,900 PUT             SH_DEF              1                  21,900
HUMANA INC             COM     444859102        54        700 SH    SOLE                                     700
HUNT (JB) TRANSPRT
SVCS INC               COM     445658107        18        300 SH    SOLE                                     300
IAMGOLD CORP           CALL    450913108     2,074    175,400 CALL            SH_DEF              1                 175,400
IAMGOLD CORP           COM     450913108     8,559    723,761 SH              SH_DEF              1                 723,761
IAMGOLD CORP           COM     450913108    41,940  3,546,450 SH    SOLE                               3,546,450
IAMGOLD CORP           COM     450913108        59      5,000 SH              SH_DEF              2                   5,000
IAMGOLD CORP           COM     450913108        59      5,000 SH              SH_DEF              1                   5,000
IAMGOLD CORP           COM     450913108        40      3,400 SH              SH_DEF              1                   3,400
IAMGOLD CORP           PUT     450913108     2,125    179,700 PUT             SH_DEF              1                 179,700
IAMGOLD CORPORATION    CALL    450913108       767     65,000 CALL  SOLE                                  65,000
IAMGOLD CORPORATION    COM     450913108         4        355 SH    SOLE                                     355
IHS INC CLASS A        COM     451734107        81        750 SH    SOLE                                     750
ILLINOIS TOOL WORKS
INC                    COM     452308109       562     10,608 SH    SOLE                                  10,608
IMPERIAL OIL LTD       CALL    453038408     9,730    232,600 CALL            SH_DEF              1                 232,600
IMPERIAL OIL LTD       COM     453038408     4,005     95,728 SH              SH_DEF              1                  95,728
IMPERIAL OIL LTD       COM     453038408   116,226  2,778,355 SH    SOLE                               2,778,355
IMPERIAL OIL LTD       COM     453038408    38,762    926,595 SH    SOLE                                 926,595
IMPERIAL OIL LTD       COM     453038408       113      2,700 SH              SH_DEF              1                   2,700
IMPERIAL OIL LTD       COM     453038408         2         37 SH              SH_DEF              1                      37
IMPERIAL OIL LTD       PUT     453038408     4,058     97,000 PUT             SH_DEF              1                  97,000
ING GROEP SPONSORED
ADR                    COM     456837103        22      3,300 SH    SOLE                                   3,300
INGREDION INC          COM     457187102         3         70 SH    SOLE                                      70
INTEL CORP             COM     458140100        80      3,000 SH    SOLE                                   3,000
INTEL CORPORATION      COM     458140100     6,435    241,151 SH    SOLE                                 241,151
INTERNATIONAL
BUSINESS MACHINES CORP COM     459200101    23,081    117,858 SH    SOLE                                 117,858
INTERNATIONAL FLAVORS
& FRAGRANCES           COM     459506101        65      1,189 SH    SOLE                                   1,189
INTERNATIONAL PAPER
COMPANY                COM     460146103        66      2,285 SH    SOLE                                   2,285
INTEROIL CORP          PUT     460951106        28        400 PUT             SH_DEF              1                     400
INTUIT INC             COM     461202103        81      1,365 SH    SOLE                                   1,365
INVESCO LIMITED        COM     G491BT108     1,314     58,056 SH    SOLE                                  58,056
IPATH DJ-UBS AGRI TTL
RET S/INDX ETN         COM     06739H206         4         74 SH    SOLE                                      74
IPATH DJ-UBS SUGAR
SUBINDX T              COM     06739H214       397      5,000 SH    SOLE                                   5,000
IPATH S&P 500 VIX S/T
FU ETN                 COM     06740C261       152     10,000 SH    SOLE                                  10,000
ISHARES BARC 20+ YEAR
TR                     COM     464287432        25        200 SH    SOLE                                     200
ISHARES DJ U.S. INDL
SECTOR INDEX FD        COM     464287754       124      1,830 SH    SOLE                                   1,830
ISHARES DJ U.S. TECH
SECTOR IDX FUND        COM     464287721        14        200 SH    SOLE                                     200
ISHARES FTSE CHINA 25
INDEX                  CALL    464287184       529     15,700 CALL  SOLE                                  15,700
ISHARES FTSE CHINA 25
INDEX                  COM     464287184       518     15,400 SH    SOLE                                  15,400
ISHARES FTSE CHINA 25
INDEX                  COM     464287184        51      1,510 SH    SOLE                                   1,510
ISHARES INC MSCI
SINGAPORE IDX FD       COM     464286673        74      6,000 SH    SOLE                                   6,000
ISHARES MSCI ASIA
EX-JAPAN               COM     464288182        11        200 SH    SOLE                                     200
ISHARES MSCI BRAZIL
INDEX FUND ETF         COM     464286400        16        300 SH    SOLE                                     300
ISHARES MSCI EAFE
INDEX FUND             COM     464287465       283      5,660 SH    SOLE                                   5,660
ISHARES MSCI EMERGING
MKTS INDEX             COM     464287234        62      1,575 SH    SOLE                                   1,575
ISHARES MSCI GERMANY
INDEX FUND             COM     464286806        95      4,800 SH    SOLE                                   4,800
ISHARES MSCI HONG
KONG INDEX FUND        COM     464286871        99      6,000 SH    SOLE                                   6,000
ISHARES MSCI JAPAN
INDEX FUND             COM     464286848        33      3,500 SH    SOLE                                   3,500
ISHARES NASDAQ
BIOTECH INDEX FUND     COM     464287556        16        125 SH    SOLE                                     125
ISHARES S&P 100 INDEX
FUND                   COM     464287101        56        900 SH    SOLE                                     900
ISHARES S&P ASIA 50
ETF                    COM     464288430        41      1,000 SH    SOLE                                   1,000
ISHARES S&P EMERG
MKTS INFRAS            COM     464288216       243      7,630 SH    SOLE                                   7,630
ISHARES S&P LATIN
AMERICAN 40 IDX FD     COM     464287390        33        800 SH    SOLE                                     800
ISHARES S&P MIDCAP
400 ETF                COM     464287507       186      1,970 SH    SOLE                                   1,970
ISHARES SILVER TRUST   COM     46428Q109        53      2,500 SH    SOLE                                   2,500
ISHARES TR RUSSEL
2000 INDEX FUND        COM     464287655        62        775 SH    SOLE                                     775
ISHARES TRUST DJ SEL
DIV                    COM     464287168     1,913     34,000 SH    SOLE                                  34,000
IVANHOE MINES LTD      COM     46579N103       721     73,100 SH    SOLE                                  73,100
IVANHOE MINES LTD      COM     46579N103        10      1,100 SH              SH_DEF              1                   1,100
IVANHOE MINES LTD      COM     46579N103         1         65 SH              SH_DEF              1                      65
JOHNSON & JOHNSON      COM     478160104       203      3,000 SH              SH_DEF              2                   3,000
JOHNSON & JOHNSON      COM     478160104    27,215    402,297 SH    SOLE                                 402,297
JOHNSON CONTROLS INC   COM     478366107       176      6,350 SH    SOLE                                   6,350
JPMORGAN CHASE & CO    COM     46625H100     1,281     35,865 SH    SOLE                                  35,865
JPMORGAN CHASE & CO    COM     46625H100     6,232    174,176 SH    SOLE                                 174,176
JPMORGAN CHASE & CO    PUT     46625H100     2,322     65,000 PUT   SOLE                                  65,000
JUST ENERGY GROUP INC  CALL    48213W101     2,302    209,600 CALL            SH_DEF              1                 209,600
JUST ENERGY GROUP INC  COM     48213W101     1,249    113,700 SH              SH_DEF              1                 113,700
JUST ENERGY GROUP INC  COM     48213W101    13,385  1,218,862 SH    SOLE                               1,218,862
JUST ENERGY GROUP INC  COM     48213W101       335     30,506 SH    SOLE                                  30,506
JUST ENERGY GROUP INC  COM     48213W101       899     81,900 SH              SH_DEF              1                  81,900
JUST ENERGY GROUP INC  COM     48213W101        29      2,600 SH              SH_DEF              1                   2,600
JUST ENERGY GROUP INC  PUT     48213W101       231     21,000 PUT             SH_DEF              1                  21,000
KANSAS CITY SOUTHERN   COM     485170302       139      2,000 SH    SOLE                                   2,000
KEEGAN RESOURCES INC   COM     487275109         3      1,030 SH              SH_DEF              1                   1,030
KELLOGG CO             COM     487836108       217      4,400 SH    SOLE                                   4,400
KEMPER CORP            COM     488401100       125      4,050 SH    SOLE                                   4,050
KIMBERLY-CLARK
CORPORATION            COM     494368103     1,469     17,515 SH    SOLE                                  17,515






                                                                                        
KINDER MORGAN
MANAGEMENT LLC         COM     49455U100       171      2,327 SH    SOLE                                   2,327
KINGSWAY FINANCIAL
SVCS                   COM     496904103         0         16 SH              SH_DEF              1                      16
KINROSS GOLD CORP      CALL    496902404     1,315    161,100 CALL            SH_DEF              1                 161,100
KINROSS GOLD CORP      CALL    496902404     2,287    280,600 CALL  SOLE                                 280,600
KINROSS GOLD CORP      COM     496902404    12,884  1,578,512 SH              SH_DEF              1               1,578,512
KINROSS GOLD CORP      COM     496902404    94,769 11,610,636 SH    SOLE                              11,610,636
KINROSS GOLD CORP      COM     496902404       439     53,909 SH    SOLE                                  53,909
KINROSS GOLD CORP      COM     496902404       606     74,200 SH              SH_DEF              1                  74,200
KINROSS GOLD CORP      PUT     496902404     1,886    231,100 PUT             SH_DEF              1                 231,100
KINROSS GOLD CORP      PUT     496902404     1,478    181,400 PUT   SOLE                                 181,400
KINROSS GOLD
CORPORATION NO PAR     COM     496902404       160     19,576 SH    SOLE                                  19,576
KLA-TENCOR CORPORATION COM     482480100        11        225 SH    SOLE                                     225
KOBEX MINERALS INC     COM     49989C105         0        298 SH              SH_DEF              1                     298
KOHL'S CORP            COM     500255104       762     16,735 SH    SOLE                                  16,735
KONINKLIJKE PHILIPS
ELECTRONICS            COM     500472303         7        356 SH    SOLE                                     356
KOREA EQUITY FUND INC  COM     50063B104       207     22,940 SH    SOLE                                  22,940
KRAFT FOODS INC CL A   COM     50075N104     2,415     62,440 SH    SOLE                                  62,440
KRAFT FOODS INC-CLASS
A                      COM     50075N104       104      2,700 SH              SH_DEF              2                   2,700
KROGER CO              COM     501044101       260     11,200 SH    SOLE                                  11,200
LABORATORY CORP OF
AMER HOLDINGS          COM     50540R409         9        100 SH    SOLE                                     100
LAKE SHORE GOLD CORP   COM     510728108        65     73,100 SH    SOLE                                  73,100
LAKE SHORE GOLD CORP   COM     510728108     1,338  1,496,500 SH    SOLE                               1,496,500
LANDAUER INC           COM     51476K103        17        300 SH    SOLE                                     300
LAS VEGAS SANDS INC    COM     517834107       784     18,000 SH    SOLE                                  18,000
LEGG MASON INC         COM     524901105        12        437 SH              SH_DEF              2                     437
LEUCADIA NATIONAL CORP COM     527288104        79      3,700 SH    SOLE                                   3,700
LEVEL 3
COMMUNICATIONS INC     COM     52729N308       333     15,000 SH    SOLE                                  15,000
LEXMARK INTERNATIONAL
INC                    COM     529771107       261      9,800 SH    SOLE                                   9,800
LIFE TECHNOLOGIES CORP COM     53217V109       167      3,700 SH    SOLE                                   3,700
LIFEPOINT HOSPITALS
INC                    COM     53219L109     1,108     27,000 SH    SOLE                                  27,000
LILLY (ELI) & COMPANY  COM     532457108       354      8,236 SH    SOLE                                   8,236
LINDSAY CORPORATION    COM     535555106         3         50 SH    SOLE                                      50
LINEAR TECHNOLOGY CORP COM     535678106        60      1,900 SH    SOLE                                   1,900
LKQ CORPORATION        COM     501889208         5        150 SH    SOLE                                     150
LLOYDS BANKING GROUP
PLC                    COM     539439109     9,373 19,244,223 SH              SH_DEF              2              19,244,223
LONE PINE RESOURCES
INC                    COM     54222A106         0         25 SH              SH_DEF              1                      25
LOUISIANA-PACIFIC
CORPORATION            COM     546347105        22      2,000 SH    SOLE                                   2,000
LOWE'S COMPANIES       COM     548661107       596     20,945 SH    SOLE                                  20,945
LULULEMON ATHLETICA
INC                    CALL    550021109       668     11,200 CALL            SH_DEF              1                  11,200
LULULEMON ATHLETICA
INC                    PUT     550021109       179      3,000 PUT             SH_DEF              1                   3,000
M & T BANK CORP        COM     55261F104     1,503     18,175 SH    SOLE                                  18,175
MAD CATZ INTERACTIVE   COM     556162105         0         80 SH              SH_DEF              1                      80
MAG SILVER CORP        CALL    55903Q104       704     80,000 CALL            SH_DEF              1                  80,000
MAGNA INTERNATIONAL
INC                    CALL    559222401     3,381     85,600 CALL            SH_DEF              1                  85,600
MAGNA INTERNATIONAL
INC                    COM     559222401     3,608     91,358 SH              SH_DEF              1                  91,358
MAGNA INTERNATIONAL
INC                    COM     559222401   100,703  2,549,750 SH    SOLE                               2,549,750
MAGNA INTERNATIONAL
INC                    COM     559222401     2,264     57,316 SH    SOLE                                  57,316
MAGNA INTERNATIONAL
INC                    PUT     559222401       778     19,700 PUT             SH_DEF              1                  19,700
MAGNA INTERNATIONAL
INC-CL A               COM     559222401         1         26 SH    SOLE                                      26
MAIDEN HOLDINGS LTD    COM     G5753U112       217     25,000 SH    SOLE                                  25,000
MANULIFE FINANCIAL
CORP                   CALL    56501R106    99,880  9,169,300 CALL            SH_DEF              1               9,169,300
MANULIFE FINANCIAL
CORP                   CALL    56501R106       272     25,000 CALL  SOLE                                  25,000
MANULIFE FINANCIAL
CORP                   CALL    56501R106       653     60,000 CALL  SOLE                                  60,000
MANULIFE FINANCIAL
CORP                   COM     56501R106    22,291  2,046,407 SH              SH_DEF              1               2,046,407
MANULIFE FINANCIAL
CORP                   COM     56501R106   335,860 30,833,083 SH    SOLE                              30,833,083
MANULIFE FINANCIAL
CORP                   COM     56501R106       411     37,700 SH    SOLE                                  37,700
MANULIFE FINANCIAL
CORP                   COM     56501R106         1        100 SH              SH_DEF              2                     100
MANULIFE FINANCIAL
CORP                   COM     56501R106     9,228    847,194 SH    SOLE                                 847,194
MANULIFE FINANCIAL
CORP                   COM     56501R106       201     18,500 SH              SH_DEF              1                  18,500
MANULIFE FINANCIAL
CORP                   COM     56501R106         9        800 SH              SH_DEF              1                     800
MANULIFE FINANCIAL
CORP                   COM     56501R106        25      2,311 SH              SH_DEF              1                   2,311
MANULIFE FINANCIAL
CORP                   PUT     56501R106     9,015    827,600 PUT             SH_DEF              1                 827,600
MANULIFE FINANCIAL
CORP                   PUT     56501R106       544     50,000 PUT   SOLE                                  50,000
MARATHON OIL CORP      COM     565849106         1         45 SH    SOLE                                      45
MARATHON OIL
CORPORATION            COM     565849106     1,029     40,200 SH    SOLE                                  40,200
MARATHON PETROLEUM
CORP                   COM     56585A102         1         14 SH    SOLE                                      14
MARATHON PETROLEUM
CORP                   COM     56585A102        90      2,000 SH    SOLE                                   2,000
MARKET VECTORS GOLD
MINERS                 COM     57060U100        78      1,750 SH    SOLE                                   1,750
MARRIOTT
INTERNATIONAL INC
CLASS A                COM     571903202        10        265 SH    SOLE                                     265
MARSH & MCLENNAN
COMPANIES INC          COM     571748102       547     16,950 SH    SOLE                                  16,950
MASTERCARD INC CLASS A COM     57636Q104       151        350 SH    SOLE                                     350
MATERIALS SELECT
SECTOR SPDR            COM     81369Y100       425     12,439 SH    SOLE                                  12,439
MCCORMICK & CO INC NVS COM     579780206        85      1,400 SH    SOLE                                   1,400
MCDONALDS CORP         COM     580135101       221      2,500 SH    SOLE                                   2,500
MCDONALD'S CORPORATION COM     580135101     2,543     28,689 SH    SOLE                                  28,689
MCEWEN MINING INC      COM     58039P107         0         80 SH              SH_DEF              1                      80
MCGRAW-HILL COMPANIES
INC                    COM     580645109       574     12,740 SH    SOLE                                  12,740
MDC PARTNERS INC CL-A
SV                     COM     552697104         0         11 SH              SH_DEF              1                      11
MEDIA GENERAL INC -CL
A                      COM     584404107         6        170 SH              SH_DEF              2                     170
MEDTRONIC INC          COM     585055106       341      8,790 SH    SOLE                                   8,790
MELCO CROWN
ENTERTAINMENT LTD ADR  COM     585464100       115     10,000 SH    SOLE                                  10,000
MEMC ELECTRONIC
MATERIALS              COM     552715104         1        400 SH    SOLE                                     400
MERCK & CO INC         COM     58933Y105     4,531    108,381 SH    SOLE                                 108,381
MERUS LABS INTL INC    COM     59047R101         0         62 SH              SH_DEF              1                      62
MESA LABORATORIES INC  COM     59064R109        46        997 SH    SOLE                                     997
METHANEX CORP          CALL    59151K108       390     14,000 CALL            SH_DEF              1                  14,000
METHANEX CORP          COM     59151K108       117      4,200 SH              SH_DEF              1                   4,200
METHANEX CORP          COM     59151K108     1,432     51,400 SH    SOLE                                  51,400
METHANEX CORP          COM     59151K108       263      9,450 SH    SOLE                                   9,450
METHANEX CORP          COM     59151K108         1         47 SH              SH_DEF              1                      47
METHANEX CORP          PUT     59151K108       309     11,100 PUT             SH_DEF              1                  11,100
METLIFE INC            COM     59156R108     3,748    121,319 SH    SOLE                                 121,319
MGIC INVESTMENT CORP   PUT     552848103        16      5,400 PUT   SOLE                                   5,400
MICROCHIP TECHNOLOGY
INC                    COM     595017104        51      1,550 SH    SOLE                                   1,550
MICROSOFT CORP         COM     594918104       156      5,100 SH    SOLE                                   5,100
MICROSOFT CORP         COM     594918104        12        400 SH              SH_DEF              2                     400
MICROSOFT CORPORATION  COM     594918104     8,094    264,257 SH    SOLE                                 264,257
MIDDLEBY CORP          COM     596278101        65        650 SH    SOLE                                     650






                                                                                        
MIDWAY GOLD CORP       COM     598153104         0          9 SH              SH_DEF              1                       9
MINCO GOLD CORPORATION COM     60254D108         0        624 SH              SH_DEF              1                     624
MOLSON COORS BREWING
COMPANY CL B           COM     60871R209       229      5,500 SH    SOLE                                   5,500
MOMENTA
PHARMACEUTICALS INC    COM     60877T100       183     13,620 SH    SOLE                                  13,620
MOMENTA
PHARMACEUTICALS INC    PUT     60877T100       337     25,000 PUT   SOLE                                  25,000
MONEYGRAM INTL INC NEW COM     60935Y208         1         87 SH    SOLE                                      87
MONSANTO CO            COM     61166W101        50        600 SH    SOLE                                     600
MONSANTO COMPANY       COM     61166W101       190      2,294 SH    SOLE                                   2,294
MOODY'S CORPORATION    COM     615369105       168      4,600 SH    SOLE                                   4,600
MORGAN STANLEY         COM     617446448        85      5,810 SH    SOLE                                   5,810
MOSAIC COMPANY         COM     61945C103        96      1,750 SH    SOLE                                   1,750
MOTOROLA SOLUTIONS INC COM     620076307        62      1,283 SH    SOLE                                   1,283
MSCI INC               COM     55354G100        75      2,200 SH    SOLE                                   2,200
MYLAN INC              CALL    628530107       712     33,300 CALL  SOLE                                  33,300
NABORS INDUSTRIES LTD  COM     G6359F103       129      8,950 SH    SOLE                                   8,950
NATIONAL GRID PLC      COM     636274300    58,886  5,566,450 SH              SH_DEF              2               5,566,450
NATIONAL GRID PLC SP
ADR                    COM     636274300       117      2,200 SH    SOLE                                   2,200
NATIONAL OILWELL
VARCO INC NEW          COM     637071101        19        300 SH    SOLE                                     300
NAVISTAR INTL CORP     COM     63934E108        17        600 SH    SOLE                                     600
NEVSUN RESOURCES LTD   CALL    64156L101        47     14,500 CALL            SH_DEF              1                  14,500
NEVSUN RESOURCES LTD   COM     64156L101        27      8,250 SH              SH_DEF              1                   8,250
NEVSUN RESOURCES LTD   COM     64156L101       119     36,600 SH    SOLE                                  36,600
NEVSUN RESOURCES LTD   COM     64156L101        70     21,400 SH              SH_DEF              1                  21,400
NEVSUN RESOURCES LTD   PUT     64156L101        33     10,000 PUT             SH_DEF              1                  10,000
NEW GOLD INC           CALL    644535106     2,039    213,800 CALL            SH_DEF              1                 213,800
NEW GOLD INC           COM     644535106       498     52,249 SH              SH_DEF              1                  52,249
NEW GOLD INC           COM     644535106       794     83,200 SH    SOLE                                  83,200
NEW GOLD INC           COM     644535106       656     68,770 SH    SOLE                                  68,770
NEW GOLD INC           PUT     644535106     1,816    190,400 PUT             SH_DEF              1                 190,400
NEWELL RUBBERMAID INC  COM     651229106       500     27,536 SH    SOLE                                  27,536
NEWMONT MINING CORP    COM     651639106     2,351     48,459 SH              SH_DEF              1                  48,459
NEWMONT MINING CORP    COM     651639106       101      2,075 SH    SOLE                                   2,075
NEWMONT MINING
CORP-HOLDING COMPANY   COM     651639106       657     13,530 SH    SOLE                                  13,530
NEWS CORP-CL A         COM     65248E104        13        600 SH    SOLE                                     600
NEWS CORPORATION
CLASS A                COM     65248E104         1         54 SH    SOLE                                      54
NEXEN INC              CALL    65334H102     3,702    218,600 CALL            SH_DEF              1                 218,600
NEXEN INC              COM     65334H102     2,954    174,471 SH              SH_DEF              1                 174,471
NEXEN INC              COM     65334H102   101,516  5,995,008 SH    SOLE                               5,995,008
NEXEN INC              COM     65334H102        17        987 SH    SOLE                                     987
NEXEN INC              COM     65334H102     3,309    195,420 SH    SOLE                                 195,420
NEXEN INC              COM     65334H102       110      6,500 SH              SH_DEF              1                   6,500
NEXEN INC              PUT     65334H102     2,000    118,100 PUT             SH_DEF              1                 118,100
NEXTERA ENERGY INC     COM     65339F101       338      4,905 SH    SOLE                                   4,905
NIKE INC CL B          COM     654106103     2,682     30,515 SH    SOLE                                  30,515
NOKIA CORP ADR         COM     654902204         1        640 SH    SOLE                                     640
NORDION INC            COM     65563C105        97     10,400 SH              SH_DEF              1                  10,400
NORDION INC            COM     65563C105       106     11,300 SH    SOLE                                  11,300
NORDION INC            COM     65563C105         9        908 SH              SH_DEF              2                     908
NORDION INC            COM     65563C105        19      2,000 SH    SOLE                                   2,000
NORDION INC            COM     65563C105         0         39 SH              SH_DEF              1                      39
NORDION INC            COM     65563C105        87      9,400 SH              SH_DEF              1                   9,400
NORTH AMER PALLADIUM
LTD                    CALL    656912102         2      1,000 CALL            SH_DEF              1                   1,000
NORTH AMER PALLADIUM
LTD                    COM     656912102        56     27,400 SH    SOLE                                  27,400
NORTHERN TRUST
CORPORATION            COM     665859104       535     11,620 SH    SOLE                                  11,620
NORTHWEST PIPE COMPANY COM     667746101       316     13,000 SH    SOLE                                  13,000
NOVACOPPER INC         COM     66988K102         1        298 SH    SOLE                                     298
NOVAGOLD RESOURCES INC COM     66987E206        33      6,379 SH              SH_DEF              1                   6,379
NOVAGOLD RESOURCES INC COM     66987E206       213     40,600 SH    SOLE                                  40,600
NOVARTIS AG SPONSORED
ADR                    COM     66987V109     1,149     20,523 SH    SOLE                                  20,523
NOVO-NORDISK A/S ADR   COM     670100205       291      2,000 SH    SOLE                                   2,000
NUCOR CORPORATION      COM     670346105        18        480 SH    SOLE                                     480
OCCIDENTAL PETROLEUM
CORP                   COM     674599105     1,357     15,801 SH    SOLE                                  15,801
OMNICOM GROUP INC      COM     681919106     1,127     23,165 SH    SOLE                                  23,165
ONCOLYTICS BIOTECH INC COM     682310107         7      2,000 SH    SOLE                                   2,000
OPEN TEXT CORP         CALL    683715106       271      5,400 CALL            SH_DEF              1                   5,400
OPEN TEXT CORP         COM     683715106       912     18,200 SH              SH_DEF              1                  18,200
OPEN TEXT CORP         COM     683715106       526     10,500 SH    SOLE                                  10,500
OPEN TEXT CORP         COM     683715106     1,042     20,881 SH    SOLE                                  20,881
OPEN TEXT CORP         COM     683715106         -    166,881 SH              SH_DEF              2                 166,881
OPEN TEXT CORP         PUT     683715106     2,615     52,200 PUT             SH_DEF              1                  52,200
OPEN TEXT CORPORATION  COM     683715106       350      6,980 SH    SOLE                                   6,980
ORACLE CORPORATION     COM     68389X105     3,043    102,338 SH    SOLE                                 102,338
O'REILLY AUTOMOTIVE
INC                    COM     67103H107         8        100 SH    SOLE                                     100
OREXIGEN THERAPEUTICS
INC                    CALL    686164104       136     24,500 CALL            SH_DEF              1                  24,500
ORIENT-EXPRESS HOTELS
LTD A                  COM     G67743107       210     25,000 SH    SOLE                                  25,000
PAN AMERICAN SILVER
CORP                   CALL    697900108       222     13,100 CALL            SH_DEF              1                  13,100
PAN AMERICAN SILVER
CORP                   CALL    697900108       241     14,300 CALL  SOLE                                  14,300
PAN AMERICAN SILVER
CORP                   COM     697900108       476     28,125 SH              SH_DEF              1                  28,125
PAN AMERICAN SILVER
CORP                   COM     697900108       523     30,888 SH    SOLE                                  30,888
PAN AMERICAN SILVER
CORP                   COM     697900108         7        390 SH    SOLE                                     390
PAN AMERICAN SILVER
CORP                   COM     697900108        63      3,750 SH    SOLE                                   3,750
PAN AMERICAN SILVER
CORP                   PUT     697900108       616     36,400 PUT             SH_DEF              1                  36,400
PAN AMERICAN SILVER
CORP                   PUT     697900108       284     16,800 PUT   SOLE                                  16,800
PARKER DRILLING CO     COM     701081101        16      3,500 SH    SOLE                                   3,500
PARKER HANNIFIN CORP   COM     701094104        10        135 SH    SOLE                                     135
PARTNERRE LTD          COM     G6852T105        49        650 SH    SOLE                                     650
PATRIOT COAL CORP      COM     70336T104         0         40 SH    SOLE                                      40
PATTERSON COMPANIES
INC                    COM     703395103       400     11,590 SH    SOLE                                  11,590
PAYCHEX INC            COM     704326107       481     15,295 SH    SOLE                                  15,295
PEABODY ENERGY CORP    COM     704549104         7        300 SH    SOLE                                     300
PEARSON PLC            COM     705015105     7,487    377,619 SH              SH_DEF              2                 377,619
PEMBINA PIPELINE CORP  CALL    706327103     3,225    126,200 CALL            SH_DEF              1                 126,200
PEMBINA PIPELINE CORP  CALL    706327103        27      1,000 CALL            SH_DEF              1                   1,000
PEMBINA PIPELINE CORP  COM     706327103        28      1,100 SH              SH_DEF              1                   1,100
PEMBINA PIPELINE CORP  COM     706327103     6,466    252,993 SH    SOLE                                 252,993
PEMBINA PIPELINE CORP  COM     706327103       638     25,000 SH              SH_DEF              1                  25,000
PEMBINA PIPELINE CORP  PUT     706327103       309     12,100 PUT             SH_DEF              1                  12,100
PEMBINA PIPELINE
CORPORATION            COM     706327103     1,508     59,002 SH    SOLE                                  59,002






                                                                                        
PENGROWTH ENERGY CORP  CALL    70706P104        16      2,500 CALL            SH_DEF              1                   2,500
PENGROWTH ENERGY CORP  COM     70706P104     1,165    183,616 SH    SOLE                                 183,616
PENGROWTH ENERGY CORP  COM     70706P104       544     85,728 SH    SOLE                                  85,728
PENGROWTH ENERGY CORP  COM     70706P104        95     15,000 SH              SH_DEF              1                  15,000
PENGROWTH ENERGY CORP  PUT     70706P104        22      3,500 PUT             SH_DEF              1                   3,500
PENGROWTH ENERGY CORP  PUT     70706P104         -      1,000 PUT             SH_DEF              1                   1,000
PENN WEST PETROLEUM
LTD                    CALL    707887105     1,276     95,100 CALL            SH_DEF              1                  95,100
PENN WEST PETROLEUM
LTD                    COM     707887105     3,240    241,447 SH              SH_DEF              1                 241,447
PENN WEST PETROLEUM
LTD                    COM     707887105    69,415  5,173,600 SH    SOLE                               5,173,600
PENN WEST PETROLEUM
 LTD                   COM     707887105     3,103    231,246 SH    SOLE                                 231,246
PENN WEST PETROLEUM
 LTD                   COM     707887105       461     34,350 SH              SH_DEF              1                  34,350
PENN WEST PETROLEUM
LTD                    PUT     707887105       602     44,900 PUT             SH_DEF              1                  44,900
PEPCO HOLDINGS INC     COM     713291102         2        100 SH    SOLE                                     100
PEPSICO INC            COM     713448108    12,497    176,620 SH    SOLE                                 176,620
PETROLEO BRASILEIRO
S.A. ADR               COM     71654V101       230     12,645 SH    SOLE                                  12,645
PETROLEO BRASILEIRO
SA ADR                 COM     71654V408       671     35,715 SH    SOLE                                  35,715
PFIZER INC             COM     717081103        34      1,500 SH    SOLE                                   1,500
PFIZER INC             COM     717081103         6        250 SH              SH_DEF              2                     250
PFIZER INC             COM     717081103     7,380    320,448 SH    SOLE                                 320,448
PG & E CORPORATION     COM     69331C108       389      8,571 SH    SOLE                                   8,571
PHILIP MORRIS
INTERNATIONAL          COM     718172109     4,005     45,835 SH    SOLE                                  45,835
PHILLIPS 66            COM     718546104       564     16,957 SH    SOLE                                  16,957
PHOTRONICS INC         COM     719405102       182     29,775 SH    SOLE                                  29,775
PLUM CREEK TIMBER CO   CALL    729251108       409     10,300 CALL  SOLE                                  10,300
PLUM CREEK TIMBER
COMPANY INC            COM     729251108        40      1,000 SH    SOLE                                   1,000
POLYMET MNG CORP       COM     731916102         0        379 SH              SH_DEF              1                     379
POSCO SPONSORED ADR    COM     693483109       278      3,455 SH    SOLE                                   3,455
POTASH CORP OF SASK
INC                    COM     73755L107       301      6,900 SH              SH_DEF              1                   6,900
POTASH CORP OF
SASKATCHEWAN           CALL    73755L107    25,876    592,000 CALL            SH_DEF              1                 592,000
POTASH CORP OF
SASKATCHEWAN           CALL    73755L107    13,557    310,300 CALL  SOLE                                 310,300
POTASH CORP OF
SASKATCHEWAN           COM     73755L107    18,984    434,412 SH              SH_DEF              1                 434,412
POTASH CORP OF
SASKATCHEWAN           COM     73755L107   409,626  9,371,692 SH    SOLE                               9,371,692
POTASH CORP OF
SASKATCHEWAN           COM     73755L107        44      1,000 SH    SOLE                                   1,000
POTASH CORP OF
SASKATCHEWAN           PUT     73755L107    17,523    400,900 PUT             SH_DEF              1                 400,900
POTASH CORPORATION OF
SASKATCHEWAN           COM     73755L107     8,039    183,920 SH    SOLE                                 183,920
POWERSHARES EXCH INTL
DIV ACHIEVERS          COM     73935X716         3        200 SH    SOLE                                     200
POWERSHARES QQQ TRUST
SERIES 1               COM     73935A104       160      2,485 SH    SOLE                                   2,485
PRAXAIR INC            COM     74005P104       114      1,045 SH    SOLE                                   1,045
PRECISION DRILLING
CORPORATION            COM     74022D308       233     34,285 SH    SOLE                                  34,285
PRETIUM RESOURCES INC  COM     74139C102        27      1,974 SH              SH_DEF              1                   1,974
PRETIUM RESOURCES INC  COM     74139C102       168     12,100 SH    SOLE                                  12,100
PRETIUM RESOURCES INC  COM     74139C102       208     15,000 SH    SOLE                                  15,000
PRIMERO MINING CORP    COM     74164W106        74     30,000 SH              SH_DEF              1                  30,000
PROCTER & GAMBLE CO    COM     742718109       220      3,600 SH    SOLE                                   3,600
PROCTER & GAMBLE CO    COM     742718109        31        500 SH              SH_DEF              2                     500
PROCTER & GAMBLE
COMPANY                COM     742718109    19,900    324,462 SH    SOLE                                 324,462
PROGRESSIVE CORP OHIO  COM     743315103        17        800 SH    SOLE                                     800
PROGRESSIVE WASTE
SOLUTIONS LTD          COM     74339G101       234     12,370 SH    SOLE                                  12,370
PROSHARES SHORT S&P500 COM     74347R503        37      1,000 SH    SOLE                                   1,000
PROSHARES ULTRA QQQ    CALL    74347R206       160      3,000 CALL  SOLE                                   3,000
PROSHARES ULTRA SILVER COM     74347W841        50      1,300 SH    SOLE                                   1,300
PROSHARES ULTRASHORT
LEHMAN 20+YR           COM     74347R297        95      6,000 SH    SOLE                                   6,000
PROSHARES ULTRASHORT
S&P500                 COM     74347R883       882     56,600 SH    SOLE                                  56,600
PROSHARES ULTRASHORT
YEN                    COM     74347W569        87      2,000 SH    SOLE                                   2,000
PROVIDENT ENERGY LTD   CALL    74386V100        12      1,000 CALL            SH_DEF              1                   1,000
PRUDENTIAL PLC         COM     74435K204    45,929  3,973,950 SH              SH_DEF              2               3,973,950
PULTEGROUP INC         COM     745867101        11      1,000 SH    SOLE                                   1,000
QLT INC                COM     746927102        15      2,000 SH    SOLE                                   2,000
QLT INC                COM     746927102         0         28 SH              SH_DEF              1                      28
QUALCOMM INC           COM     747525103        97      1,745 SH    SOLE                                   1,745
QUALITY SYSTEMS INC    COM     747582104        52      1,900 SH    SOLE                                   1,900
RANDGOLD RESOURCES
LIMITED ADR            COM     752344309     1,118     12,408 SH    SOLE                                  12,408
RANDGOLD RESOURCES
LTD-ADR                COM     752344309       813      9,028 SH              SH_DEF              1                   9,028
RANDGOLD RESOURCES
LTD-ADR                COM     752344309        27        300 SH    SOLE                                     300
RARE ELEMENT
RESOURCES LTD          COM     75381M102        74     15,000 SH    SOLE                                  15,000
RAYONIER INC           COM     754907103        27        600 SH    SOLE                                     600
RAYTHEON COMPANY       COM     755111507       244      4,300 SH    SOLE                                   4,300
RESEARCH IN MOTION     CALL    760975102       530     71,600 CALL            SH_DEF              1                  71,600
RESEARCH IN MOTION     CALL    760975102     4,695    635,300 CALL  SOLE                                 635,300
RESEARCH IN MOTION     COM     760975102     3,537    477,640 SH              SH_DEF              1                 477,640
RESEARCH IN MOTION     COM     760975102    37,763  5,098,983 SH    SOLE                               5,098,983
RESEARCH IN MOTION     COM     760975102       820    110,980 SH    SOLE                                 110,980
RESEARCH IN MOTION     COM     760975102        19      2,500 SH              SH_DEF              2                   2,500
RESEARCH IN MOTION     PUT     760975102       718     97,000 PUT             SH_DEF              1                  97,000
RESEARCH IN MOTION     PUT     760975102     1,646    222,700 PUT   SOLE                                 222,700
RESEARCH IN MOTION LTD COM     760975102       272     36,788 SH    SOLE                                  36,788
RESEARCH IN MOTION LTD COM     760975102        41      5,500 SH              SH_DEF              1                   5,500
RESEARCH IN MOTION LTD COM     760975102         1         90 SH              SH_DEF              1                      90
RESEARCH IN MOTION LTD COM     760975102        10      1,300 SH              SH_DEF              1                   1,300
RESOLUTE FOREST
PRODUCTS               COM     76117W109       116     10,000 SH    SOLE                                  10,000
RIO TINTO PLC          COM     767204100    54,346  1,149,469 SH              SH_DEF              2               1,149,469
RIO TINTO PLC
SPONSORED ADR          COM     767204100       217      4,525 SH    SOLE                                   4,525
ROCKWELL AUTOMATION
INC                    COM     773903109       659      9,960 SH    SOLE                                   9,960
ROGERS
COMMUNICATION-B NV     COM     775109200     3,620    100,000 SH              SH_DEF              1                 100,000
ROGERS
COMMUNICATION-B NV     COM     775109200       206      5,700 SH              SH_DEF              1                   5,700
ROGERS COMMUNICATIONS
-CL B                  CALL    775109200    16,227    447,600 CALL            SH_DEF              1                 447,600
ROGERS COMMUNICATIONS
-CL B                  COM     775109200     6,043    166,683 SH              SH_DEF              1                 166,683
ROGERS COMMUNICATIONS
-CL B                  COM     775109200   172,036  4,745,312 SH    SOLE                               4,745,312
ROGERS COMMUNICATIONS
-CL B                  PUT     775109200    11,416    314,900 PUT             SH_DEF              1                 314,900
ROGERS COMMUNICATIONS
INC CL B NVS           COM     775109200    13,724    378,554 SH    SOLE                                 378,554
ROYAL BANK OF CANADA   CALL    780087102    96,599  1,885,500 CALL            SH_DEF              1               1,885,500
ROYAL BANK OF CANADA   CALL    780087102    12,634    246,600 CALL  SOLE                                 246,600
ROYAL BANK OF CANADA   CALL    780087102       512     10,000 CALL  SOLE                                  10,000
ROYAL BANK OF CANADA   COM     780087102    29,778    581,237 SH              SH_DEF              1                 581,237
ROYAL BANK OF CANADA   COM     780087102 2,831,417 55,265,821 SH    SOLE                              55,265,821
ROYAL BANK OF CANADA   COM     780087102     1,618     31,586 SH    SOLE                                  31,586
ROYAL BANK OF CANADA   COM     780087102   111,745  2,181,132 SH    SOLE                               2,181,132
ROYAL BANK OF CANADA   COM     780087102        61      1,183 SH              SH_DEF              1                   1,183






                                                                                        
ROYAL BANK OF CANADA   COM     780087102       813     15,870 SH              SH_DEF              1                  15,870
ROYAL BANK OF CANADA   PUT     780087102    74,118  1,446,700 PUT             SH_DEF              1               1,446,700
ROYAL BANK OF CANADA   PUT     780087102     9,545    186,300 PUT   SOLE                                 186,300
ROYAL BANK OF CANADA   PUT     780087102     5,916    115,500 PUT   SOLE                                 115,500
ROYAL BK SCOT 5.75%
SER-L ADR PFD          COM     780097788        13        740 SH    SOLE                                     740
ROYAL DUTCH SHELL PLC
ADR CL A               COM     780259206     3,051     45,192 SH    SOLE                                  45,192
ROYAL DUTCH SHELL PLC
SPON ADR B             COM     780259107       172      2,450 SH    SOLE                                   2,450
ROYAL DUTCH SHELL
PLC-A SHS              COM     780259107         -      2,103 SH              SH_DEF              2                   2,103
ROYAL DUTCH SHELL
PLC-A SHS              COM     780259107    57,763  1,717,566 SH              SH_DEF              2               1,717,566
ROYAL DUTCH SHELL
PLC-B SHS              COM     780259107    42,870  1,230,326 SH              SH_DEF              2               1,230,326
ROYAL GOLD INC         COM     780287108       464      5,924 SH              SH_DEF              1                   5,924
ROYAL GOLD INC         COM     780287108         7         93 SH    SOLE                                      93
ROYAL GOLD INC         COM     780287108       188      2,400 SH    SOLE                                   2,400
ROYAL GOLD INC         COM     780287108        50        640 SH    SOLE                                     640
ROYAL GOLD INC         PUT     780287108     4,202     53,600 PUT   SOLE                                  53,600
ROYCE MICRO-CAP TRUST
INC                    COM     780915104        54      6,000 SH    SOLE                                   6,000
RPM INTERNATIONAL INC  COM     749685103       145      5,325 SH    SOLE                                   5,325
RTS-IVANHOE MINES
19JL12                 COM     46579N152         7      7,282 SH              SH_DEF              1                   7,282
RUBICON MINERALS CORP  CALL    780911103        55     17,900 CALL            SH_DEF              1                  17,900
RUBICON MINERALS CORP  COM     780911103        41     13,442 SH              SH_DEF              1                  13,442
RUBICON MINERALS CORP  COM     780911103       161     52,700 SH    SOLE                                  52,700
RUBICON MINERALS CORP  COM     780911103        42     13,800 SH              SH_DEF              1                  13,800
RUBICON MINERALS CORP  PUT     780911103        15      5,000 PUT             SH_DEF              1                   5,000
S&P 500 INDEX          CALL    464287900    63,029    462,700 CALL  SOLE                                 462,700
S&P 500 INDEX          PUT     464287900    51,069    374,900 PUT   SOLE                                 374,900
SANOFI                 COM     80105N105     1,059     27,990 SH    SOLE                                  27,990
SAP AG                 COM     803054204     1,282     21,565 SH    SOLE                                  21,565
SASOL LIMITED
SPONSORED ADR          COM     803866300       379      8,905 SH    SOLE                                   8,905
SCANSOURCE INC         COM     806037107        12        400 SH    SOLE                                     400
SCHLUMBERGER LTD       COM     806857108        39        600 SH    SOLE                                     600
SCHLUMBERGER LTD       COM     806857108       709     10,915 SH    SOLE                                  10,915
SCHWAB, CHARLES CORP   COM     808513105         9        675 SH    SOLE                                     675
SEABRIDGE GOLD INC     COM     811916105        56      3,838 SH              SH_DEF              1                   3,838
SEABRIDGE GOLD INC     COM     811916105         1         72 SH              SH_DEF              1                      72
SEADRILL LTD           COM     G7945E105       178      5,000 SH    SOLE                                   5,000
SEASPAN CORP           COM     Y75638109       261     15,000 SH    SOLE                                  15,000
SECTOR SPDR
TR-UTILITIES           COM     81369Y886        15        396 SH    SOLE                                     396
SEMICONDUCTOR MFG
INTL CORP ADR          COM     81663N206       161     97,875 SH    SOLE                                  97,875
SEMPRA ENERGY          COM     816851109        76      1,100 SH    SOLE                                   1,100
SHAW COMMUNICATION-B
NV                     COM     82028K200        30      1,600 SH              SH_DEF              1                   1,600
SHAW COMMUNICATION-B
NV                     COM     82028K200       457     24,200 SH              SH_DEF              1                  24,200
SHAW COMMUNICATION-B
NV                     COM     82028K200       136      7,200 SH              SH_DEF              1                   7,200
SHAW COMMUNICATIONS
INC CL B NVS           COM     82028K200    12,519    662,473 SH    SOLE                                 662,473
SHAW COMMUNICATIONS
INC-B                  CALL    82028K200     3,126    165,400 CALL            SH_DEF              1                 165,400
SHAW COMMUNICATIONS
INC-B                  COM     82028K200    13,140    695,340 SH              SH_DEF              1                 695,340
SHAW COMMUNICATIONS
INC-B                  COM     82028K200   135,000  7,143,656 SH    SOLE                               7,143,656
SHAW COMMUNICATIONS
INC-B                  PUT     82028K200    22,708  1,201,600 PUT             SH_DEF              1               1,201,600
SHERWIN-WILLIAMS
COMPANY (THE)          COM     824348106       139      1,050 SH    SOLE                                   1,050
SHIRE PLC              COM     82481R106     7,458    259,967 SH              SH_DEF              2                 259,967
SIEMENS AG SPONSORED
ADR                    COM     826197501     1,230     14,617 SH    SOLE                                  14,617
SIERRA WIRELESS INC    CALL    826516106         9      1,000 CALL            SH_DEF              1                   1,000
SIGMA-ALDRICH CORP     COM     826552101        81      1,100 SH    SOLE                                   1,100
SILVER STANDARD
RESOURCES              CALL    82823L106       473     42,000 CALL            SH_DEF              1                  42,000
SILVER STANDARD
RESOURCES              COM     82823L106       391     34,777 SH              SH_DEF              1                  34,777
SILVER STANDARD
RESOURCES              COM     82823L106       306     27,200 SH    SOLE                                  27,200
SILVER STANDARD
RESOURCES              COM     82823L106         3        300 SH    SOLE                                     300
SILVER STANDARD
RESOURCES              PUT     82823L106       746     66,300 PUT             SH_DEF              1                  66,300
SILVER WHEATON CORP    CALL    828336107     6,729    250,300 CALL            SH_DEF              1                 250,300
SILVER WHEATON CORP    COM     828336107    22,088    821,625 SH              SH_DEF              1                 821,625
SILVER WHEATON CORP    COM     828336107    87,901  3,269,700 SH    SOLE                               3,269,700
SILVER WHEATON CORP    COM     828336107        36      1,325 SH    SOLE                                   1,325
SILVER WHEATON CORP    COM     828336107       710     26,425 SH    SOLE                                  26,425
SILVER WHEATON CORP    COM     828336107         2         90 SH              SH_DEF              1                      90
SILVER WHEATON CORP    COM     828336107       917     34,200 SH              SH_DEF              1                  34,200
SILVER WHEATON CORP    PUT     828336107     3,476    129,300 PUT             SH_DEF              1                 129,300
SILVER WHEATON CORP    PUT     828336107        54      2,000 PUT   SOLE                                   2,000
SILVERCORP METALS INC  CALL    82835P103       542     97,800 CALL            SH_DEF              1                  97,800
SILVERCORP METALS INC  COM     82835P103       207     37,400 SH    SOLE                                  37,400
SM ENERGY CO           COM     78454L100         -          0 SH    SOLE                                       0
SMITH & NEPHEW PLC     COM     83175M205     4,153    416,016 SH              SH_DEF              2                 416,016
SMITH & NEPHEW PLC
SPONSORED ADR          COM     83175M205       137      2,745 SH    SOLE                                   2,745
SMITHFIELD FOODS INC   COM     832248108        39      1,800 SH    SOLE                                   1,800
SMUCKER (J.M.) CO      COM     832696405         7         87 SH    SOLE                                      87
SOLERA HOLDINGS INC    COM     83421A104        67      1,600 SH    SOLE                                   1,600
SONY CORPORATION SPON
ADR                    COM     835699307         2        120 SH    SOLE                                     120
SOUTHERN COMPANY       COM     842587107       758     16,350 SH    SOLE                                  16,350
SOUTHWEST AIRLINES CO  COM     844741108         2        270 SH    SOLE                                     270
SPDR BARCLAYS CAPITAL
HI YLD BD ETF          COM     78464A417       348      8,800 SH    SOLE                                   8,800
SPDR DJIA ETF          COM     78467X109        32        245 SH    SOLE                                     245
SPDR DJIA TRUST        CALL    78467X109     1,546     12,000 CALL  SOLE                                  12,000
SPDR FTSE/MACQUARIE
GLB INFR 100 ETF       COM     78463X855       286      7,200 SH    SOLE                                   7,200
SPDR GOLD TRUST        COM     78463V107       109        700 SH    SOLE                                     700
SPDR GOLD TRUST        COM     78463V107    15,280     98,328 SH    SOLE                                  98,328
SPDR S&P 500 ETF TRUST COM     78462F103     1,074      7,874 SH    SOLE                                   7,874
SPDR S&P BIOTECH ETF   COM     78464A870        18        200 SH    SOLE                                     200
SPDR S&P DIVIDEND ETF  COM     78464A763       170      3,050 SH    SOLE                                   3,050
SPDR S&P MIDCAP 400
ETF TRUST              COM     78467Y107        21        125 SH    SOLE                                     125
SPDR TRUST SERIES 1    PUT     78462F103    20,272    148,900 PUT   SOLE                                 148,900
SPECTRA ENERGY CORP    COM     847560109       265      9,099 SH    SOLE                                   9,099
SPX CORP               COM     784635104         -          1 SH              SH_DEF              2                       1
STANTEC INC            COM     85472N109       242      8,500 SH    SOLE                                   8,500
STANTEC INC            COM     85472N109       480     16,840 SH    SOLE                                  16,840
STAPLES INC            COM     855030102         2        150 SH    SOLE                                     150
STARBUCKS CORPORATION  COM     855244109        85      1,600 SH    SOLE                                   1,600
STARWOOD HOTELS &
RESORTS                CALL    85590A401     1,591     30,000 CALL  SOLE                                  30,000
STATE STREET CORP      COM     857477103     1,406     31,455 SH    SOLE                                  31,455
STATOIL ASA SPON ADR   COM     85771P102       127      5,311 SH    SOLE                                   5,311
STILLWATER MINING
COMPANY                COM     86074Q102       855    100,000 SH    SOLE                                 100,000






                                                                                        
STRAYER EDUCATION INC  COM     863236105       120      1,100 SH    SOLE                                   1,100
STRYKER CORPORATION    COM     863667101        65      1,170 SH    SOLE                                   1,170
STUDENT TRANSPORTATION COM     86388A108         1        200 SH              SH_DEF              1                     200
SUN LIFE FINANCIAL INC CALL    866796105    14,696    675,500 CALL            SH_DEF              1                 675,500
SUN LIFE FINANCIAL INC COM     866796105     5,500    252,791 SH              SH_DEF              1                 252,791
SUN LIFE FINANCIAL INC COM     866796105   215,121  9,887,809 SH    SOLE                               9,887,809
SUN LIFE FINANCIAL INC COM     866796105     7,351    337,891 SH    SOLE                                 337,891
SUN LIFE FINANCIAL INC COM     866796105       226     10,400 SH              SH_DEF              1                  10,400
SUN LIFE FINANCIAL INC COM     866796105        18        836 SH              SH_DEF              1                     836
SUN LIFE FINANCIAL INC COM     866796105       988     45,481 SH              SH_DEF              1                  45,481
SUN LIFE FINANCIAL INC PUT     866796105     4,980    228,900 PUT             SH_DEF              1                 228,900
SUNCOR ENERGY INC
(NEW)                  COM     867224107    23,909    826,819 SH    SOLE                                 826,819
SUNCOR ENERGY INC NEW  COM     867224107       292     10,100 SH              SH_DEF              1                  10,100
SUNCOR ENERGY INC NEW  COM     867224107        72      2,500 SH              SH_DEF              1                   2,500
SUNCOR ENERGY INC NEW  COM     867224107       347     12,008 SH              SH_DEF              1                  12,008
SUNOPTA INC            COM     8676EP108         0          1 SH              SH_DEF              1                       1
SUPERVALU INC          COM     868536103        67     13,000 SH    SOLE                                  13,000
SWISHER HYGIENE INC    COM     870808102        30     12,000 SH    SOLE                                  12,000
SWISHER HYGIENE INC    COM     870808102         0         38 SH              SH_DEF              1                      38
SXC HEALTH SOLUTIONS
CORP                   CALL    78505P100        20        200 CALL            SH_DEF              1                     200
SXC HEALTH SOLUTIONS
CORP                   COM     78505P100     1,678     16,900 SH    SOLE                                  16,900
SXC HEALTH SOLUTIONS
CORP                   COM     78505P100   169,852  1,710,275 SH              SH_DEF              2               1,710,275
SXC HEALTH SOLUTIONS
CORP                   COM     78505P100     1,539     15,500 SH    SOLE                                  15,500
SYSCO CORPORATION      COM     871829107       620     20,770 SH    SOLE                                  20,770
T ROWE PRICE GROUP INC COM     74144T108       395      6,265 SH    SOLE                                   6,265
TALISMAN ENERGY INC    CALL    87425E103     2,451    213,800 CALL            SH_DEF              1                 213,800
TALISMAN ENERGY INC    COM     87425E103     8,750    763,397 SH              SH_DEF              1                 763,397
TALISMAN ENERGY INC    COM     87425E103   129,122 11,264,697 SH    SOLE                              11,264,697
TALISMAN ENERGY INC    COM     87425E103     4,502    392,718 SH    SOLE                                 392,718
TALISMAN ENERGY INC    PUT     87425E103     2,768    241,500 PUT             SH_DEF              1                 241,500
TANZANIAN ROYALTY
EXPLORATIO             COM     87600U104        23      5,592 SH              SH_DEF              1                   5,592
TARGET CORP            COM     87612E106     2,447     41,998 SH    SOLE                                  41,998
TASEKO MINES LTD       CALL    876511106        50     18,600 CALL            SH_DEF              1                  18,600
TASEKO MINES LTD       COM     876511106         4      1,500 SH              SH_DEF              1                   1,500
TASEKO MINES LTD       COM     876511106        96     35,700 SH    SOLE                                  35,700
TASEKO MINES LTD       PUT     876511106        12      4,500 PUT             SH_DEF              1                   4,500
TECHNOLOGY SELECT
SECTOR SPDR FUND       COM     81369Y803       374     13,000 SH    SOLE                                  13,000
TECK COMINCO LTD-CL B  CALL    878742204    29,006    936,600 CALL            SH_DEF              1                 936,600
TECK COMINCO LTD-CL B  CALL    878742204     4,028    130,200 CALL  SOLE                                 130,200
TECK COMINCO LTD-CL B  COM     878742204     7,799    251,826 SH              SH_DEF              1                 251,826
TECK COMINCO LTD-CL B  COM     878742204   162,027  5,231,819 SH    SOLE                               5,231,819
TECK COMINCO LTD-CL B  COM     878742204     3,067     99,117 SH    SOLE                                  99,117
TECK COMINCO LTD-CL B  PUT     878742204     8,706    281,100 PUT             SH_DEF              1                 281,100
TECK COMINCO LTD-CL B  PUT     878742204     3,781    122,200 PUT   SOLE                                 122,200
TECK RESOURCES LTD
-B- SV                 COM     878742204        31        990 SH              SH_DEF              1                     990
TECK RESOURCES LTD
-B- SV                 COM     878742204        68      2,200 SH              SH_DEF              1                   2,200
TECK RESOURCES LTD CL
B SVS                  COM     878742204     6,272    202,536 SH    SOLE                                 202,536
TEEKAY CORPORATION     COM     Y8564W103       205      7,000 SH    SOLE                                   7,000
TELEFLEX INCORPORATED  COM     879369106        30        500 SH    SOLE                                     500
TELEFONICA S.A.
SPONSORED ADR          COM     879382208         5        395 SH    SOLE                                     395
TELSA MOTORS INC       COM     88160R101         2         50 SH    SOLE                                      50
TELUS CORPORATION
-NON VOTE              COM     87971M202        18        300 SH              SH_DEF              1                     300
TELUS CORPORATION
-NON VOTE              COM     87971M202   176,732  3,020,487 SH    SOLE                               3,020,487
TELUS CORPORATION NV   COM     87971M202     6,515    111,351 SH    SOLE                                 111,351
TEMPLETON DRAGON FUND  COM     88018T101        69      2,600 SH    SOLE                                   2,600
TENARIS S.A. ADR       COM     88031M109       199      5,675 SH    SOLE                                   5,675
TERADYNE INC           COM     880770102         4        294 SH    SOLE                                     294
TESCO CORP             COM     88157K101        43      3,600 SH    SOLE                                   3,600
TESORO CORP            COM     881609101        51      2,038 SH    SOLE                                   2,038
TEVA PHARMACEUTICAL
INDUSTRIES ADR         COM     881624209       673     17,044 SH    SOLE                                  17,044
TEVA
PHARMACEUTICAL-SP ADR  CALL    881624209     1,520     40,000 CALL  SOLE                                  40,000
TEXAS INSTRUMENTS INC  COM     882508104        34      1,193 SH    SOLE                                   1,193
THOMPSON CREEK METALS
CO                     COM     884768102         6      2,000 SH              SH_DEF              1                   2,000
THOMPSON CREEK METALS
CO INC                 CALL    884768102       162     50,600 CALL            SH_DEF              1                  50,600
THOMPSON CREEK METALS
CO INC                 COM     884768102       130     40,600 SH              SH_DEF              1                  40,600
THOMPSON CREEK METALS
CO INC                 COM     884768102       137     42,900 SH    SOLE                                  42,900
THOMPSON CREEK METALS
CO INC                 PUT     884768102       230     71,700 PUT             SH_DEF              1                  71,700
THOMPSON CREEK METALS
COMPANY                COM     884768102        76     23,700 SH    SOLE                                  23,700
THOMSON REUTERS CORP   CALL    884903105     6,673    234,500 CALL            SH_DEF              1                 234,500
THOMSON REUTERS CORP   COM     884903105     4,175    146,712 SH              SH_DEF              1                 146,712
THOMSON REUTERS CORP   COM     884903105   118,692  4,171,239 SH    SOLE                               4,171,239
THOMSON REUTERS CORP   COM     884903105        70      2,476 SH    SOLE                                   2,476
THOMSON REUTERS CORP   COM     884903105         2         74 SH              SH_DEF              1                      74
THOMSON REUTERS CORP   COM     884903105     1,165     41,000 SH              SH_DEF              1                  41,000
THOMSON REUTERS CORP   COM     884903105       220      7,741 SH              SH_DEF              1                   7,741
THOMSON REUTERS CORP   PUT     884903105     2,854    100,300 PUT             SH_DEF              1                 100,300
THOMSON REUTERS
CORPORATION            COM     884903105    12,572    441,820 SH    SOLE                                 441,820
THOR INDUSTRIES INC    COM     885160101     3,100    224,350 SH              SH_DEF              1                 224,350
THOR INDUSTRIES INC    COM     885160101       227     16,400 SH    SOLE                                  16,400
THOR INDUSTRIES INC    COM     885160101     3,014    218,081 SH              SH_DEF              2                 218,081
THOR INDUSTRIES INC    PUT     885160101     3,441    249,000 PUT             SH_DEF              1                 249,000
TIFFANY & CO           COM     886547108        95      1,800 SH    SOLE                                   1,800
TIM HORTONS INC        CALL    88706M103     2,699     51,200 CALL            SH_DEF              1                  51,200
TIM HORTONS INC        COM     88706M103     4,709     89,322 SH              SH_DEF              1                  89,322
TIM HORTONS INC        COM     88706M103    92,777  1,759,950 SH    SOLE                               1,759,950
TIM HORTONS INC        COM     88706M103         5        100 SH    SOLE                                     100
TIM HORTONS INC        COM     88706M103    10,815    205,150 SH    SOLE                                 205,150
TIM HORTONS INC        PUT     88706M103     1,223     23,200 PUT             SH_DEF              1                  23,200
TIMBERLINE RESOURCES
CORP                   COM     887133106         0        285 SH              SH_DEF              1                     285
TIME WARNER CABLE INC  COM     88732J207       713      8,676 SH    SOLE                                   8,676
TIME WARNER INC        COM     887317303        66      1,713 SH    SOLE                                   1,713
TJX COMPANIES INC      COM     872540109       160      3,725 SH    SOLE                                   3,725
TOLL BROTHERS INC      COM     889478103        60      2,000 SH    SOLE                                   2,000
TORONTO DOMINION BANK  COM     891160509         8         97 SH              SH_DEF              1                      97
TORONTO DOMINION BANK  COM     891160509    10,901    139,313 SH              SH_DEF              1                 139,313
TORONTO DOMINION BANK  COM     891160509     4,097     52,361 SH              SH_DEF              1                  52,361
TORONTO-DOMINION BANK  CALL    891160509   129,409  1,653,500 CALL            SH_DEF              1               1,653,500
TORONTO-DOMINION BANK  COM     891160509   311,941  3,985,782 SH              SH_DEF              1               3,985,782






                                                                                        
TORONTO-DOMINION BANK  COM     891160509    97,020  1,239,663 SH              SH_DEF              2               1,239,663
TORONTO-DOMINION BANK  COM     891160509    85,950  1,098,219 SH    SOLE                               1,098,219
TORONTO-DOMINION BANK  PUT     891160509    74,742    955,000 PUT             SH_DEF              1                 955,000
TORONTO-DOMINION BANK  PUT     891160509         8        100 PUT   SOLE                                     100
TOTAL S.A. SPONSORED
ADR                    COM     89151E109     1,910     42,430 SH    SOLE                                  42,430
TOWERSTREAM
CORPORATION            COM     892000100       194     46,600 SH    SOLE                                  46,600
TOYOTA MOTOR CORP ADR  COM     892331307       929     11,523 SH    SOLE                                  11,523
TRACTOR SUPPLY COMPANY COM     892356106        83      1,000 SH    SOLE                                   1,000
TRANSALTA CORP         CALL    89346D107     8,689    512,800 CALL            SH_DEF              1                 512,800
TRANSALTA CORP         COM     89346D107     2,271    134,041 SH              SH_DEF              1                 134,041
TRANSALTA CORP         COM     89346D107   107,935  6,370,365 SH    SOLE                               6,370,365
TRANSALTA CORP         COM     89346D107        51      3,000 SH              SH_DEF              1                   3,000
TRANSALTA CORP         COM     89346D107        17      1,025 SH              SH_DEF              1                   1,025
TRANSALTA CORP         COM     89346D107       142      8,400 SH              SH_DEF              1                   8,400
TRANSALTA CORP         COM     89346D107       147      8,700 SH              SH_DEF              1                   8,700
TRANSALTA CORP         PUT     89346D107     2,880    170,000 PUT             SH_DEF              1                 170,000
TRANSALTA CORPORATION  COM     89346D107     5,965    352,074 SH    SOLE                                 352,074
TRANSCANADA CORP       CALL    89353D107    40,076    956,200 CALL            SH_DEF              1                 956,200
TRANSCANADA CORP       COM     89353D107    12,692    302,828 SH              SH_DEF              1                 302,828
TRANSCANADA CORP       COM     89353D107   492,252 11,745,066 SH    SOLE                              11,745,066
TRANSCANADA CORP       COM     89353D107         2         36 SH    SOLE                                      36
TRANSCANADA CORP       COM     89353D107       653     15,600 SH              SH_DEF              1                  15,600
TRANSCANADA CORP       COM     89353D107         1         20 SH              SH_DEF              1                      20
TRANSCANADA CORP       COM     89353D107        49      1,175 SH              SH_DEF              1                   1,175
TRANSCANADA CORP       COM     89353D107       172      4,100 SH              SH_DEF              1                   4,100
TRANSCANADA CORP       PUT     89353D107    12,267    292,700 PUT             SH_DEF              1                 292,700
TRANSCANADA
CORPORATION            COM     89353D107    42,482  1,013,611 SH    SOLE                               1,013,611
TRANSGLOBE ENERGY CORP CALL    893662106        27      3,000 CALL            SH_DEF              1                   3,000
TRANSGLOBE ENERGY CORP COM     893662106       129     14,500 SH    SOLE                                  14,500
TRANSGLOBE ENERGY CORP COM     893662106     1,903    213,896 SH              SH_DEF              2                 213,896
TRANSITION THERAPEUT   COM     893716209         0         52 SH              SH_DEF              1                      52
TRAVELERS COMPANIES
INC                    COM     89417E109         6         91 SH    SOLE                                      91
TRAVELERS COS INC/THE  COM     89417E109         -          1 SH              SH_DEF              2                       1
TRW AUTOMOTIVE
HOLDINGS CORP          COM     87264S106       734     19,940 SH    SOLE                                  19,940
TUPPERWARE BRANDS CORP COM     899896104       122      2,225 SH    SOLE                                   2,225
TWO HARBORS
INVESTMENT CORP        COM     90187B101     1,140    110,000 SH    SOLE                                 110,000
U.S. BANCORP           COM     902973304       361     11,200 SH    SOLE                                  11,200
UFP TECHNOLOGIES INC   COM     902673102        82      4,870 SH    SOLE                                   4,870
ULTRA PETROLEUM CORP   COM     903914109        34      1,460 SH    SOLE                                   1,460
UNILEVER N.V. NEW
YORK SHARES            COM     904784709       255      7,638 SH    SOLE                                   7,638
UNILEVER PLC           COM     904767704    18,807    560,136 SH              SH_DEF              2                 560,136
UNILEVER PLC SPON ADR  COM     904767704     1,652     48,909 SH    SOLE                                  48,909
UNION PACIFIC
CORPORATION            COM     907818108     1,098      9,193 SH    SOLE                                   9,193
UNITED PARCEL SERVICE
INC CL B               COM     911312106        87      1,100 SH    SOLE                                   1,100
UNITED PARCEL
SERVICE-CL B           COM     911312106        16        200 SH    SOLE                                     200
UNITED STATES OIL
FUND LP                COM     91232N108       249      7,812 SH    SOLE                                   7,812
UNITED TECHNOLOGIES
CORPORATION            COM     913017109     6,939     91,750 SH    SOLE                                  91,750
UNITEDHEALTH GROUP INC COM     91324P102       407      6,940 SH    SOLE                                   6,940
UNUM GROUP             COM     91529Y106       119      6,200 SH    SOLE                                   6,200
US BANCORP             COM     902973304       260      8,073 SH    SOLE                                   8,073
VALE S.A SPON ADR      COM     91912E105       241     12,100 SH    SOLE                                  12,100
VALE S.A. CLASS PFD
ADR                    COM     91912E204        64      3,300 SH    SOLE                                   3,300
VALEANT PHARMA
INTL-NEW               COM     91911K102         4        100 SH              SH_DEF              1                     100
VALEANT
PHARMACEUTICALS INTE   CALL    91911K102       529     11,800 CALL            SH_DEF              1                  11,800
VALEANT
PHARMACEUTICALS INTE   COM     91911K102     5,631    125,536 SH              SH_DEF              1                 125,536
VALEANT
PHARMACEUTICALS INTE   COM     91911K102   150,889  3,363,688 SH    SOLE                               3,363,688
VALEANT
PHARMACEUTICALS INTE   COM     91911K102    51,385  1,145,501 SH              SH_DEF              2               1,145,501
VALEANT
PHARMACEUTICALS INTE   PUT     91911K102       637     14,200 PUT             SH_DEF              1                  14,200
VALEANT
PHARMACEUTICALS INTL
INC                    COM     91911K102       486     10,841 SH    SOLE                                  10,841
VALERO ENERGY CORP     COM     91913Y100        13        531 SH    SOLE                                     531
VALERO ENERGY CORP     COM     91913Y100       128      5,300 SH    SOLE                                   5,300
VANCEINFO
TECHNOLOGIES INC ADR   COM     921564100     1,098    114,421 SH    SOLE                                 114,421
VANGUARD DIVIDEND
APREC INDEX FD ETF     COM     921908844       345      6,075 SH    SOLE                                   6,075
VANGUARD EMERGING
MARKETS ETF            COM     922042858     3,705     92,618 SH    SOLE                                  92,618
VANGUARD EXTENDED
MARKET ETF             COM     922908652        11        200 SH    SOLE                                     200
VANGUARD HIGH
DIVIDEND YIELD ETF     COM     921946406        58      1,200 SH    SOLE                                   1,200
VANGUARD MSCI EAFE ETF COM     921943858       234      7,405 SH    SOLE                                   7,405
VANGUARD TOTAL STOCK
MARKET ETF             COM     922908769        99      1,419 SH    SOLE                                   1,419
VARIAN MEDICAL
SYSTEMS INC            COM     92220P105       120      1,975 SH    SOLE                                   1,975
VCA ANTECH INC         COM     918194101       201      9,130 SH    SOLE                                   9,130
VEECO INSTRUMENTS INC  COM     922417100         4        110 SH    SOLE                                     110
VERISK ANALYTICS INC
CLASS A                COM     92345Y106       148      3,000 SH    SOLE                                   3,000
VERIZON
COMMUNICATIONS INC     COM     92343V104         9        200 SH    SOLE                                     200
VERIZON
COMMUNICATIONS INC     COM     92343V104        36        800 SH              SH_DEF              2                     800
VERIZON
COMMUNICATIONS INC     COM     92343V104     2,401     53,951 SH    SOLE                                  53,951
VERTEX
PHARMACEUTICALS INC    COM     92532F100       587     10,475 SH    SOLE                                  10,475
VIACOM INC-CLASS B     COM     92553P201        28        600 SH    SOLE                                     600
VISA INC- CLASS A
SHARES                 COM     92826C839       316      2,555 SH    SOLE                                   2,555
VISA INC-CLASS A
SHARES                 COM     92826C839        37        300 SH    SOLE                                     300
VISTEON CORPORATION    COM     92839U206         0          2 SH    SOLE                                       2
VODAFONE GROUP PLC     COM     92857W209   120,532 42,937,304 SH              SH_DEF              2              42,937,304
VODAFONE GROUP PLC     COM     92857W209     5,929    210,135 SH    SOLE                                 210,135
VULCAN MATERIALS
COMPANY                COM     929160109       160      4,035 SH    SOLE                                   4,035
WALGREEN CO            COM     931422109       809     27,310 SH    SOLE                                  27,310
WAL-MART STORES INC    CALL    931142103       349      5,000 CALL  SOLE                                   5,000
WAL-MART STORES INC    COM     931142103     7,132    102,157 SH    SOLE                                 102,157
WASHINGTON POST
COMPANY CL B           COM     939640108        94        250 SH    SOLE                                     250
WASTE MANAGEMENT INC   COM     94106L109       735     21,965 SH    SOLE                                  21,965
WATERS CORPORATION     COM     941848103         8        100 SH    SOLE                                     100
WELLPOINT INC          COM     94973V107       800     12,525 SH    SOLE                                  12,525
WELLS FARGO & CO       COM     949746101         5        159 SH              SH_DEF              2                     159
WELLS FARGO & CO       COM     949746101     7,016    209,531 SH    SOLE                                 209,531
WESTERN COPPER&GOLD
CORP                   COM     95805V108         0         54 SH              SH_DEF              1                      54
WESTERN UNION CO       COM     959802109     1,043     61,835 SH    SOLE                                  61,835
WESTPORT INNOVATIONS
INC                    CALL    960908309     2,024     55,100 CALL            SH_DEF              1                  55,100
WESTPORT INNOVATIONS
INC                    COM     960908309       382     10,400 SH    SOLE                                  10,400
WESTPORT INNOVATIONS
INC                    PUT     960908309       268      7,300 PUT             SH_DEF              1                   7,300






                                                                                        
WESTPORT INNOVATIONS
INC NEW                COM     960908309        73      2,000 SH    SOLE                                   2,000
WESTWOOD HOLDINGS
GROUP INC              COM     961765104        48      1,274 SH    SOLE                                   1,274
WEYERHAEUSER CO        COM     962166104         4        172 SH    SOLE                                     172
WI-LAN INC             CALL    928972108        27      5,500 CALL            SH_DEF              1                   5,500
WI-LAN INC             COM     928972108       640    130,100 SH    SOLE                                 130,100
WI-LAN INC             COM     928972108       416     84,628 SH    SOLE                                  84,628
WI-LAN INC             PUT     928972108         5      1,000 PUT             SH_DEF              1                   1,000
WINTHROP REALTY TRUST  COM     976391300        61      5,000 SH    SOLE                                   5,000
WPP PLC                COM     92933H101     7,072    584,168 SH              SH_DEF              2                 584,168
WPP PLC - SPONSORED
ADR                    COM     92933H101        10        165 SH    SOLE                                     165
WRIGHT EXPRESS CORP    COM     98233Q105       584      9,455 SH    SOLE                                   9,455
WYNN RESORTS LTD       COM     983134107       208      2,000 SH    SOLE                                   2,000
XCEL ENERGY INC        COM     98389B100         4        155 SH    SOLE                                     155
XEROX CORPORATION      COM     984121103         2        300 SH    SOLE                                     300
YAMANA GOLD INC        CALL    98462Y100    10,431    676,000 CALL            SH_DEF              1                 676,000
YAMANA GOLD INC        CALL    98462Y100     1,298     84,300 CALL  SOLE                                  84,300
YAMANA GOLD INC        COM     98462Y100     7,420    480,851 SH              SH_DEF              1                 480,851
YAMANA GOLD INC        COM     98462Y100   124,843  8,090,550 SH    SOLE                               8,090,550
YAMANA GOLD INC        COM     98462Y100       471     30,580 SH    SOLE                                  30,580
YAMANA GOLD INC        COM     98462Y100       641     41,534 SH    SOLE                                  41,534
YAMANA GOLD INC        COM     98462Y100         2        122 SH              SH_DEF              1                     122
YAMANA GOLD INC        COM     98462Y100     1,853    120,400 SH              SH_DEF              1                 120,400
YAMANA GOLD INC        PUT     98462Y100     1,455     94,300 PUT             SH_DEF              1                  94,300
YAMANA GOLD INC        PUT     98462Y100       898     58,300 PUT   SOLE                                  58,300
YUM! BRANDS INC        COM     988498101       281      4,363 SH    SOLE                                   4,363
ZHONGPIN INC           COM     98952K107       127     13,800 SH    SOLE                                  13,800
ZIMMER HOLDINGS INC    COM     98956P102       287      4,460 SH    SOLE                                   4,460